Information to bondholders – Prepayment from proceeds of the first drawdown of the Revolving Credit Facility (ISIN: NO 001 09508676 and NO 001 0950884)
2021-03-26
Nordic Trustee AS (the “Bond Trustee”) acts as Bond Trustee for the above mentioned bond issues issued by the Company pursuant to the bond terms both dated 19 March 2021.
Both the Cash Bonds (NO 0010950868) and the PIK Bonds (NO 0010950884) will in accordance with the bond terms be prepaid with USD 15,000,000 respectively with settlement date 31 March 2021.