2 January 2019
CORRECTION OF UPDATED COMPANY PRESENTATION
Plaza Centers N.V. ("Plaza" or the "Company") has made available on its website an updated corrected Presentation prior to the bondholders meeting on 2nd January, 2019. The projected cash flow for the period H1/2020 and H2/2020 included operational expenses in amount of 0.45 MEUR per each period instead of 0.75 MEUR due to clerical error. All other information included in the presentation remains in place.
A copy of the corrected presentation can be downloaded from the Company's website, www.plazacenters.com, in the Investor Relations section under "Company Presentation".
Ends
For further details, please contact:
Plaza
Avi Hakhamov, Acting CEO +361 6104523
Notes to Editors