14 Dec 2022 16:46 CET

NO0010850530 - Key information relating to full redemption of bond loan

Issuer: Navig8 Topco Holdings Inc
Original maturity date: 3 May 2023
New maturity date: 29 December 2022
Redemption price: US$80,000,000 (100% of Nominal Amount of Outstanding Bonds),
plus any accrued interest until the date of redemption

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


Source

Navig8 Topco Holdings INC

Provider

Oslo Børs Newspoint

Company Name

Navig8 Topco Holdings 19/23 12,00% USD C

ISIN

NO0010850530

Market

Oslo Børs