Issuer: BlueNord ASA
ISIN for bond loan: NO0012780867
Original maturity date: 26 July 2027
New maturity date: 5 August 2025
Redemption price: 100% (plus accrued interest until 27 August 2025)
Other information: The issuer has exercised the clean up call option to redeem all of the outstanding bonds. The record date is 1 August 2025. Nordic Trustee posted a letter to the bondholders dated 30 July 2025 regarding the same.
This information is published in accordance with the requirements of the Continuing Obligations.
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Contact:
Cathrine Torgersen, Chief Corporate Affairs Officer
Phone: +47 915 28 501
Email: cathrine.torgersen@bluenord.com