26 Feb 2025 12:00 CET

Issuer: Nortura SA
ISIN of bond loan: NO0012519737
Date of redemption: 7 March 2025
Redemption amount: MNOK 260
Outstanding loan amount after redemption: MNOK 490
Redemption price: 103.00
The buy-back of NORT33 PRO PRO will be done in conjunction with the issuance of
a new hybrid bond issue in the amount of MNOK 600 with ISIN NO0013489351 on 7
March 2025. The partial buy-back will be written down in the CSD (no: VPS).
This information is published in accordance with the requirements of the
Continuing Obligations.
Oslo, 26 February 2025.
For further information, please contact:
Head of Treasury and Risk Management Kristian Sævik, telephone +47 48 26 95 31


Source

Nortura SA

Provider

Oslo Børs Newspoint

Company Name

Nortura SA 20/25 FRN, Nortura SA 20/27 FRN, Nortura SA 20/27 3,95%, Nortura SA 22/47 ADJ FLOOR C SUB, Nortura SA 21/26 FRN, Nortura SA 22/28 FRN, Nortura SA 23/29 FRN, Nortura SA 24/30 FRN

ISIN

NO0010886716, NO0010886724, NO0010886740, NO0012519737, NO0011136624, NO0012513581, NO0013081943, NO0013334763

Market

Nordic Alternative Bond Market