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NO0010850530 - Key information relating to full redemption of bond loan
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.
More information:
Access the news on Oslo Bors NewsWeb site
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