Key information relating to full redemption of bond loan
November 17, 2023This information is published in accordance with the requirements of the Continuing Obligations.
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Issuer: | Aker Solutions ASA |
ISIN for bond loan: | NO0010853286 |
Original maturity date: | June 3, 2024 |
New maturity date: | December 4, 2023 |
Redemption price: | 100.50% |
Other information: | N/A |
Preben Ørbeck
investor relations
preben.orbeck@akersolutions.com
+47 470 10 611