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Solstad Offshore ASA — Investor Relations & Filings

Ticker · SOFF ISIN · NO0003080608 LEI · 5967007LIEEXZXHGO849 OL Transportation and storage
Filings indexed 2,131 across all filing types
Latest filing 2020-10-28 Interest Rate Update/No…
Country NO Norway
Listing OL SOFF

About Solstad Offshore ASA

https://www.solstad.com/

Solstad Offshore ASA is a provider of specialized offshore vessels and maritime services to the global energy markets. The company supports both the renewable and petroleum sectors by operating a fleet that includes Anchor Handling Tug Supply (AHTS) vessels and Construction Support Vessels (CSV). Solstad Offshore ASA is one of two primary ship-owning entities within the Solstad group, which share a common management function with Solstad Maritime ASA to deliver sustainable offshore operations.

Recent filings

Filing Released Lang Actions
Boa Offshore AS – Information to Bondholders regarding Rest Claim payment following sale of subsidiary
Interest Rate Update/Notice Classification · 95% confidence The document is a formal notice from Nordic Trustee AS, acting as a bond trustee, addressed to bondholders regarding a specific bond issue (ISIN NO 001 0699077) from Boa Offshore AS. The content details a cash distribution amount (NOK 12,917,789) to be paid to bondholders on November 3, 2020, based on a clause in the Bond Agreement. This is a specific financial event notification concerning debt instruments and interest rates, rather than a general corporate filing like an Annual Report (10-K) or an Earnings Release (ER). It directly relates to the terms of the debt, specifically mentioning interest rates (Fixed Rate for the next period) and payment schedules. This aligns best with 'Interest Rate Update/Notice' (IRAT) as it concerns the financial mechanics and payments related to the bond, although it is a payment notice derived from a financial covenant trigger. Given the options, IRAT is the most specific fit for a notice detailing bond payments and associated interest rate mechanics.
2020-10-28 English
Boa Offshore AS – Information to Bondholders regarding Rest Claim payment following sale of subsidiary
Regulatory Filings Classification · 95% confidence The document is very short (1046 characters) and explicitly states that it is providing 'Information to Bondholders regarding Rest Claim payment following sale of subsidiary'. Crucially, it directs the reader to 'Please find attached the information notice's from Nordic Trustee AS.' This structure—a brief announcement referencing attached official notices—fits the definition of a Report Publication Announcement (RPA) or a general Regulatory Filing (RNS), rather than the detailed financial report itself. Since the content relates to a specific financial event (payment distribution related to debt/bonds) and directs to attached notices, RPA is the most precise fit, as it announces the publication of related information. If RPA were not available, RNS would be the fallback. Given the context of bondholders and debt claims, it is a specific financial communication.
2020-10-28 English
Boa Offshore AS – Information to Bondholders regarding Rest Claim payment following sale of subsidiary
Interest Rate Update/Notice Classification · 90% confidence The document is a formal notice from Nordic Trustee AS, acting as a bond trustee, addressed to bondholders regarding a specific bond issue (ISIN NO 001 0741895) from Boa Offshore AS. It details a specific cash distribution amount (NOK 1,052,800) based on the Bond Agreement, specifying the payment date (November 3, 2020) and the calculation method (a fee percentage of the Face Value). This communication relates directly to the terms and financial status of a debt instrument, specifically concerning interest rate/payment adjustments or distributions related to debt restructuring or covenants. Given the options, this is most closely related to an Interest Rate Update/Notice (IRAT) as it concerns a specific payment/distribution event tied to the bond's terms, although it is a payment notice rather than a rate change. However, since it is a specific notice regarding a financial event on a debt instrument, and 'IRAT' covers 'Updates on interest rate changes affecting the company's debt or financial instruments,' this is the best fit among the provided codes, as it is a direct communication about debt instrument mechanics. It is too specific for a general Regulatory Filing (RNS) and does not fit ER, IR, or CAP well.
2020-10-28 English
Boa Offshore AS – Information to Bondholders regarding Rest Claim payment following sale of subsidiary
Capital/Financing Update Classification · 95% confidence The document is a formal notification from Nordic Trustee AS, acting as a bond trustee, to bondholders regarding a specific payment distribution related to the Boa Offshore AS Senior Unsecured Bond Issue. It details the amount being distributed (NOK 12,917,789), the record date (30 October 2020), and the payment date (3 November 2020). This communication concerns a financial event related to debt instruments and capital structure, specifically a distribution event. This fits best under 'Capital/Financing Update' (CAP) as it details a specific action affecting the bond capital structure and payments, or potentially 'Interest Rate Update/Notice' (IRAT) due to the mention of the fixed interest rate for the next period, but the primary focus is the cash distribution. Given the context of a trustee informing bondholders about a cash distribution event related to the bond terms, CAP is the most appropriate fit, as it relates to capital structure changes/financing outcomes. It is not a general earnings release (ER), a full annual report (10-K), or a dividend notice (DIV) for equity shareholders.
2020-10-28 English
Boa Offshore AS – Information to Bondholders regarding Rest Claim payment following sale of subsidiary
Regulatory Filings Classification · 95% confidence The document is very short (1046 characters) and explicitly states that it is providing 'Information to Bondholders regarding Rest Claim payment following sale of subsidiary'. Crucially, it directs the reader to 'Please find attached the information notice's from Nordic Trustee AS.' This structure—a brief announcement referencing attached official notices—fits the definition of a Report Publication Announcement (RPA) or a general Regulatory Filing (RNS), rather than the detailed financial report itself. Since the content relates to a specific financial event (payment distribution related to debt/bonds) and directs to attached notices, RPA is the most precise fit, as it announces the publication of related information. If RPA were not available, RNS would be the fallback. Given the context of bondholders and debt claims, it is a specific financial communication.
2020-10-28 English
Commencement of subscription period for Subsequent Offering
Capital/Financing Update Classification · 98% confidence The document explicitly announces the 'Commencement of subscription period for Subsequent Offering' of new shares, detailing the subscription price, rights, and timeline. This activity directly relates to the company raising capital or changing its capital structure through the issuance of new shares via an offering. This aligns perfectly with the definition of 'Capital/Financing Update' (CAP). Although it involves shares, it is a financing event rather than a general share repurchase (POS) or a general share issue announcement (SHA), as it is tied to a specific rights offering/subsequent offering process described in a Prospectus.
2020-10-26 English

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