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Navigator Holdings Ltd. – Key information relating to full redemption of bond loan
17 Oct 2024 17:53 CEST
LONDON, October 17, 2024
Issuer: Navigator Holdings Ltd.
ISIN for bond loan: NO0010891955
Original Maturity Date: 10 September 2025
New Maturity Date: 1 November 2024
Redemption Price: 101.60% (plus accrued and unpaid interests on the redeemed
amount)
Other Information: N/A
This information is published in accordance with the requirements of the
Continuing Obligations.
Navigator Gas
Attention: Investor Relations investorrelations@navigatorgas.com and
randy.giveans@navigatorgas.com
Address: 333 Clay Street, Suite 2480, Houston, Texas, U.S.A. 77002
Tel: +1 713 373 6197 and +44 (0)20 7340 4850
Investor Relations / Media Advisors
Nicolas Bornozis / Paul Lampoutis
Capital Link – New York
Tel: +1-212-661-7566
Email: navigatorgas@capitallink.com
More information:
Access the news on Oslo Bors NewsWeb site
629848_Navigator Holdings Ltd. - Call Option Notice (17.10.24).pdf
Source
Navigator Holdings Ltd
Provider
Oslo Børs Newspoint
Company Name
Navigator Holdings Ltd 20/25 8,00% USD
ISIN
NO0010891955
Market
Nordic Alternative Bond Market