by Bluenord | Aug 4, 2025 | Uncategorized
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...
by Bluenord | Jul 28, 2025 | Uncategorized
Oslo, 28 July 2025: The shares in BlueNord ASA ("BlueNord" or the "Company") will be traded ex dividend NOK 19.49 per share as of today, 28 July 2025. The payment will be on or about 6 August 2025. This information is subject to disclosure...
by Bluenord | Jul 21, 2025 | Uncategorized
Reason for correction: Last day including rights corrected to 25 July 2025. The following sets out the cash dividend to be paid by BlueNord ASA as announced 18 July 2025: Dividend amount: NOK 19.49 per share Announced currency: NOK Last day including...
by Bluenord | Jul 18, 2025 | Uncategorized
Oslo, 18 July 2025: The following sets out the cash dividend to be paid by BlueNord ASA as announced today: Dividend amount: NOK 19.49 per share Announced currency: NOK Last day including right: 27 July 2025 Ex-date: 28 July 2025 Record...
by Bluenord | Jul 18, 2025 | Uncategorized
Oslo, 18 July 2025: Reference is made to the second quarter 2025 results published by BlueNord ASA ("BlueNord" or the "Company") on 10 July 2025 where the Company announced a USD 49 million distribution in connection with the second quarter...