Equinor ASA - Key information relating to full redemption of bond loan
05 September 2024 - 3:30PM
UK Regulatory
Equinor ASA - Key information relating to full redemption of bond
loan
Issuer: Equinor ASA (OSE:EQNR, NYSE:EQNR)
ISIN for bond loan: NO0010689607
Original maturity date: 16 September 2025
New maturity date: 9 September 2024
Redemption price: NOK 99.56
This information is published in accordance with the
requirements of the Continuing Obligations and is subject to the
disclosure requirements pursuant to Section 5-12 in the Norwegian
Securities Trading Act.
For further information, please contact:
Investor relations
Bård Glad Pedersen, senior vice president Investor Relations,
+47 918 01 791
Media
Sissel Rinde, vice president Media Relations,
+47 412 60 584
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