Correction: BNOR14 - Key Information Relating to Full Redemption of Bond Loan
CORRECTION - Refer to announcement at 14.06.2024, 16:17:05, which stated Record Date of 3 July 2024. The correct Record Date is 2 July 2024. See corrected notification below: Issuer: BlueNord ASAISIN for bond loan: NO0010870900Original maturity date: 17 June 2026New maturity date: 5 July 2024Redemption price: 110.00131% (plus accrued unpaid interests on the redeemedamount) Other information: The issuer has in a letter to Nordic Trustee (the Bond Trustee) on 14 June 2024 notified that the Issuer will exercise the call option to redeem all of the outstanding bonds in