Capital/Financing Update • Jun 19, 2025
Capital/Financing Update
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Denne melding til obligasjonseierne er kun utarbeidet på engelsk. For informasjon vennligst kontakt Nordic Trustee AS.
Oslo, 19 June 2025
Nordic Trustee AS (the "Bond Trustee") acts as bond trustee for the Bondholders in the above mentioned bond issue (the "Bond Issue") where OKEA ASA is the issuer (the "Issuer").
All capitalized terms used herein shall have the meaning assigned to them in the bond terms dated 12 September 2023 (the "Bond Terms").
The Issuer has notified the Bond Trustee of the Call Option to redeem the Outstanding Bonds in whole in accordance with item (a)(ii) of clause 10.2 of the Bond Terms, as follows:
Redemption amount: Redemption price:
Record Date: Call Option Repayment Date:
All Outstanding Bonds 104.563% of the Nominal Amount for each redeemed Bond plus accrued and unpaid interest 1 July 2025 3 July 2025
Yours sincerely Nordic Trustee AS rgen Andersen
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