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Key Information Relating to Full Redemption of Bond Loan 12 May 2026
12 May 2026 14:50 CEST
Issuer
Øyfjellet Wind Investment AS
Issuer: Øyfjellet Wind Investment AS
ISIN for bond loan: NO0011082117
Original maturity date: 14 September 2026
New maturity date: 28 May 2026
Redemption price: 100.275% of Nominal Amount (plus accrued and unpaid interest
up to, but not including, the Call Option Repayment Date)
Other information: The Issuer has, in a letter to Nordic Trustee AS (the Bond
Trustee) on 12 May 2026, given conditional notice of its intention to exercise
the call option to redeem all of the outstanding bonds in accordance with the
Bond Terms. Please refer to the attached notice from Nordic Trustee AS for
further details. The record date will be 26 May 2026.
This information is published in accordance with the requirements of the
Continuing Obligations.
More information:
Access the news on Oslo Bors NewsWeb site
673205_NO0011082117_Call Notice_dated 12 May 2026(5561272.1)(5561277.1).pdf
Source
Øyfjellet Wind Investment AS
Provider
Oslo Børs Newspoint
Company Name
Oyfjellet Wind Inve AS 21/26 2.75pct EUR C
ISIN
NO0011082117
Market
Euronext Oslo Børs