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Aker Horizons Capital/Financing Update 2025

May 9, 2025

3530_rns_2025-05-09_a809d7db-fdf6-47ad-b319-2fa62a8b2a42.html

Capital/Financing Update

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AKH01 ESG - Key information relating to full redemption of bond loan

AKH01 ESG - Key information relating to full redemption of bond loan

Issuer: Aker Horizons ASA

ISIN for bond loan: NO0010923220

Original maturity date: 15 August 2025

New maturity date: 23 May 2025

Redemption price: 100.37 % per cent. of the Nominal Amount (plus accrued and

unpaid interest on the redeemed amount)

Other information: The issuer has in a letter to Nordic Trustee (the Bond

Trustee) notified that the Issuer will exercise the call option to redeem all of

the outstanding bonds in accordance with the Bond Terms. The record date will be

21 May 2025.

This information is published in accordance with the requirements of the

Continuing Obligations.