Capital/Financing Update • Mar 29, 2023
Capital/Financing Update
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Key information relating to full redemption of bond loan
Oslo, 29 March 2023
Issuer: Zalaris ASA
ISIN for bond loan: 0010832710
Original maturity date: 28 September 2023
New maturity date: 31 March 2023
Redemption price:100.00% (plus accrued and unpaid interests on the redeemed amount)
For more information, please contact:
Gunnar Manum, CFO
Mobile: +47 951 79 190
E-mail: [email protected]
About
Zalaris(OSLO: ZAL) simplifies HR and payroll administration and empower you with useful information so that you can invest more in people. We are a leading service provider of Human Experience Management (HXM) solutions across Europe, serving more than 1.5 million employees with an annual revenue of NOK 893m (2022). We hold #1 or #2 positions in most of our markets. Our consultants have more than 21 years of experience in transforming HR with our clients. Simplify work life. Achieve more. For more information, go to www.zalaris.com.
This information is subject to the disclosure requirements pursuant to section 5-12 of the Norwegian Securities Trading Act.
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