01 Feb 2022 14:37 CET

Issuer: Fibo Group AS
ISIN: NO001 0847379
Original maturity date: 2 April 2022
New maturity date: 11 February 2022
Redemption price: NOK 1,005,000 (100.50% of the nominal amount)

Other information (optional): N/A
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Continuing Obligations.


Kilde

Fibo Group AS

Leverandør

Oslo Børs Newspoint

Company Name

Fibo Group AS 19/22 FRN FLOOR C

ISIN

NO0010847379

Marked

Oslo Børs