22 Dec 2022 13:41 CET

Issuer: Boreal Holding AS
ISIN for bond loan: ISIN NO 001 0831951 (FRN)
Original maturity date: 3 October 2025
New maturity date: 28 December 2022*

Redemption price: NOK 1,916,769,983.44

Other information: Reference is made to the stock exchange notice made on 13
December 2022, to which the new maturity date has been amended as reflected
above (*). Please also see attached the updated call notice.

This information is published in accordance with the requirements of the
Continuing Obligations.


Kilde

Boreal Holding AS

Leverandør

Oslo Børs Newspoint

Company Name

Boreal Holding AS 18/25 FRN FLOOR C, Boreal Holding AS 20/25 3,50% C

ISIN

NO0010831951, NO0010886872

Marked

Nordic Alternative Bond Market