Correction: BNOR14 – Key Information Relating to Full Redemption of Bond Loan

Jun 14, 2024

CORRECTION – Refer to announcement at 14.06.2024, 16:17:05, which stated Record Date of 3 July 2024. The correct Record Date is 2 July 2024. See corrected notification below:

Issuer: BlueNord ASA
ISIN for bond loan: NO0010870900
Original maturity date: 17 June 2026
New maturity date: 5 July 2024
Redemption price: 110.00131% (plus accrued unpaid interests on the redeemed
amount)

Other information: The issuer has in a letter to Nordic Trustee (the Bond Trustee) on 14 June 2024 notified that the Issuer will exercise the call option to redeem all of the outstanding bonds in accordance with the Bond Terms. The record date will be 2 July 2024.

This information is published in accordance with the requirements of the Continuing Obligations.

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Contact:
Cathrine Torgersen, Chief Corporate Affairs Officer
Phone: +47 915 28 501
Email: cathrine.torgersen@bluenord.com

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  • NO0010870900_IB_20240614