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NPRO20 - Key Information on Partial Redemption of Bond Loan

5/26/2025

Issuer: Norwegian Property ASA
The bond’s ISIN: NO0010894785
Redemption date: May 26, 2025
Amount redeemed: MNOK 394
Outstanding amount after redemption: MNOK 306
Redemption price: 100.416

This information is subject to the disclosure requirements pursuant to section 5-12 of the Norwegian Securities Trading Act.

Oslo, May 26, 2025

For further information, please contact: Haavard Rønning, CFO, Mobile +47 400 20 019.