07 Nov 2024 13:46 CET

Utsteder

BN Bank ASA

Det er fastsatt ny Obligasjonsrente for NO0012750746.
Ny Obligasjonsrente i Renteperioden 11.11.2024 - 10.02.2025 er 6.04.
Ticker: BNB101 PRO ESG

Den nye Obligasjonsrenten og Renteperioden er fastsatt i henhold til
Obligasjonsavtalen.

Se vedlagt dokument for utfyllende informasjon.

(Publisert av Nordic Trustee)


631589_941cce182d1a4faeb63199addd7b67c9.pdf

Kilde

BN Bank ASA

Leverandør

Oslo Børs Newspoint

Company Name

BN Bank ASA 19/25 2,60%, BN Bank ASA 19/25 2,10%, BN Bank ASA 20/26 FRN, BN Bank ASA 19/29 FRN C SUB, BN Bank ASA 21/27 1.60 pct, BN Bank ASA 21/28 2,30pct, BN Bank ASA 22/PERP FRN C HYBRID, BN Bank ASA 22/32 FRN C SUB, BN Bank ASA 22/27 4.07pct, BN Bank ASA 22/28 FRN, BN Bank ASA 22/27 FRN, BN Bank ASA 23/PERP FRN C HYBRID, BN Bank ASA 23/30 4,50%, BN Bank ASA 23/29 FRN, BN Bank ASA 23/34 FRN C SUB, BN Bank ASA 24/PERP FRN C HYBRID, BN Bank ASA 24/29 4,60%, BN Bank ASA 24/27 FRN, BN Bank ASA 24/34 ADJ C SUB, BN Bank ASA 24/29 FRN, BN Bank ASA 24/31 4,23%, BN Bank ASA 24/35 ADJ C SUB, BN Bank ASA 24/30 FRN, BN Bank ASA 24/28 FRN

ISIN

NO0010843154, NO0010861966, NO0010872963, NO0010871445, NO0010907819, NO0010920671, NO0011121808, NO0012451782, NO0012451824, NO0012626060, NO0012781923, NO0012750746, NO0012851924, NO0012902149, NO0013095646, NO0013100594, NO0013120444, NO0013152462, NO0013155481, NO0013210575, NO0013234492, NO0013320655, NO0013354662, NO0013365593, NO0013380089

Marked

Nordic Alternative Bond Market