Capital/Financing Update • Jan 29, 2021
Capital/Financing Update
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Nordic Trustee AS P.O. Box 1470 Vika N-0116 Oslo Norway E-mail: [email protected]
Oslo, 29 January 2021
We refer to the Bond Agreement originally dated 22 March 2018 for the above mentioned Bond Issue made between Nordic Trustee AS as Bond Trustee on behalf of the Bondholders, and the undersigned as Issuer.
Capitalised terms used herein shall have the same meaning as in the Bond Agreement.
We hereby give you notice that we wish to exercise the Call Option and redeem all Outstanding Bonds at 100% of the Nominal Amount plus accrued interests on the redeemed amount pursuant to Clause 10.4 (Voluntary early redemption - Call Option) of the Amended Bond Agreement, with settlement date on the date falling five (5) Business Days after the date of this notice (the "Redemption Notice"), being 5 February 2021.
This Redemption Notice is given to you as bond trustee on behalf of yourself and the Bondholders. as amended by notice of written resolution
Yours faithfully, AXACTOR SE
______________________
Glen Ole Rødland Johnny Tsolis
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