PLSV01 PRO - Key information relating to partial redemption of bond loan Issuer
2026-09-14 14:10:59
ISIN of bond loan: NO 0013256099
Date of redemption: 16 September 2026
Redemption amount: USD 146,460,413
Outstanding loan amount after redemption: USD 353.5 million
Redemption price: 105.94657% of the Nominal Amount for each redeemed Bond plus
accrued and unpaid interest
Other information (optional): In connection with the partial redemption, the
nominal value of the Bonds will be reduced from USD 100 to USD 1
This information is published in accordance with the requirements of the
Continuing Obligations.
inuing Obligations.\