30 Sep 2025 10:30 CEST

Issuer

Cidron Romanov Limited

CIDRO01 - Key information relating to full redemption of bond loan
Issuer: Cidron Romanov Limited
ISIN for bond loan: NO0011134413
Original maturity date: 22 October 2026
New maturity date: 7 October 2025
Redemption price: 102.79 per cent. of the nominal amount of each bond, plus
accrued but unpaid Interest
This information is published in accordance with the requirements of the
Continuing Obligations of Oslo Børs.


656414_Romanov II - Key information redemption NO0011134413.pdf

Source

Cidron Romanov Limited

Provider

Oslo Børs Newspoint

Company Name

Cidron Romanov Limited 21/26 FRN FLOOR C, Cidron Romanov Lim 21/26 ADJ SEK FLOOR C

ISIN

NO0011134405, NO0011134413

Market

Euronext Oslo Børs