GJF01 - Key information relating to partial redemption of bond issue
Issuer: Gjensidige Forsikring ASAISIN of bond loan: NO0010720378Date of redemption: 26 September 2023Redemption amount: MNOK 696Outstanding loan amount after redemption: MNOK 504Redemption price: 100.25 The buy-back of NOK 696 million of GJF01 will be done in conjunction with the issuance of a new subordinated Tier 2 bond issue (ISIN: NO0013024000) on 26 September 2023. The partial buy-back will be written down in the CSD (no: VPS), provided that the new bond issue has been paid in. This information is published in accordance with the requirements of the Continuing