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- Key Information Relating To Full Redemption of Bond Loan - OCY05
Key information relating to full redemption of bond loan - OCY05
06 Jan 2023 07:01 CET
Issuer: Ocean Yield AS
ISIN for bond loan: NO 0010823214
Original maturity date: 25 May 2023
New maturity date: 17 February 2023
Redemption price: 100.00%
Other information: Bond issue OCY05
More information:
Access the news on Oslo Bors NewsWeb site
Source
Ocean Yield AS
Provider
Oslo Børs Newspoint
Company Name
Ocean Yield ASA 18/23 FRN C, Oce ASA 19/PERP FRN USD FLOOR STEP C SUB, Ocean Yield ASA 19/24 FRN
ISIN
NO0010823214, NO0010861594, NO0010869720
Market
Oslo Børs