22 May 2026 10:21 CEST

Issuer

Øyfjellet Wind Investment AS

Oslo, 22 May 2026: Reference is made to the announcement published on 12 May
2026 regarding the conditional exercise of the call option to redeem all
outstanding bonds under Øyfjellet Wind Investment

The exercise of the call option was conditional upon settlement of the new bond
issue (ISIN NO0013740423) occurring on or before 22 May 2026. We are pleased to
confirm that the condition has been satisfied and that all outstanding bonds
will be redeemed at a price equal to 100.275 per cent. of the Nominal Amount
plus accrued and unpaid interest, with Record Date on 26 May 2026 and Call
Option Repayment Date on 28 May 2026, as set out in the announcement published
on 12 May 2026.

Reference is made to the attached notice from Nordic Trustee AS for further
information.
This information is subject to the disclosure requirements pursuant to Section
5-12 of the Norwegian Securities Trading Act.

***

About Øyfjellet Wind Investment AS:
Øyfjellet Wind Investment AS is a Norwegian holding company for the Øyfjellet
wind farm, one of Norway's largest onshore wind farms, operated by its
subsidiary Øyfjellet Wind AS. The Company is ultimately owned by funds managed
by Aquila Capital. For further information, please visit: Øyfjellet Wind - En
friskere fremtid

***


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