Bifogade filer
Kurs & Likviditet
Kalender
2024-11-18 | Kvartalsrapport 2024-Q3 |
2024-08-19 | Kvartalsrapport 2024-Q2 |
2024-05-15 | Kvartalsrapport 2024-Q1 |
2024-02-28 | Bokslutskommuniké 2023 |
2023-11-21 | Kvartalsrapport 2023-Q3 |
2023-08-23 | Kvartalsrapport 2023-Q2 |
2023-05-24 | Kvartalsrapport 2023-Q1 |
2023-02-15 | Bokslutskommuniké 2022 |
2022-11-23 | Kvartalsrapport 2022-Q3 |
2022-08-24 | Kvartalsrapport 2022-Q2 |
2022-05-24 | Kvartalsrapport 2022-Q1 |
2022-04-07 | Årsstämma 2022 |
2022-02-14 | Bokslutskommuniké 2021 |
2021-12-21 | 15-6 2021 |
2021-11-09 | Kvartalsutdelning OCY 0.481 |
2021-11-02 | Kvartalsrapport 2021-Q3 |
2021-07-15 | Kvartalsutdelning OCY 0.4967037 |
2021-07-12 | Kvartalsrapport 2021-Q2 |
2021-05-07 | Kvartalsutdelning OCY 0.45442645 |
2021-05-04 | Kvartalsrapport 2021-Q1 |
2021-04-21 | Årsstämma 2021 |
2021-02-18 | Kvartalsutdelning OCY 0.4487563 |
2021-02-15 | Bokslutskommuniké 2020 |
2020-11-05 | Kvartalsutdelning OCY 0.4911658 |
2020-11-02 | Kvartalsrapport 2020-Q3 |
2020-07-13 | Kvartalsutdelning OCY 0.46805 |
2020-07-09 | Kvartalsrapport 2020-Q2 |
2020-05-08 | Kvartalsutdelning OCY 0.515215 |
2020-05-05 | Kvartalsrapport 2020-Q1 |
2020-04-22 | Årsstämma 2020 |
2020-02-17 | Kvartalsutdelning OCY 1.7649164 |
2020-02-12 | Bokslutskommuniké 2019 |
2019-11-01 | Kvartalsutdelning OCY 1.7625862 |
2019-10-29 | Kvartalsrapport 2019-Q3 |
2019-07-16 | Kvartalsutdelning OCY 1.6302805 |
2019-07-11 | Kvartalsrapport 2019-Q2 |
2019-05-10 | Kvartalsutdelning OCY 1.6667 |
2019-05-07 | Kvartalsrapport 2019-Q1 |
2019-04-25 | Årsstämma 2019 |
2019-02-15 | Kvartalsutdelning OCY 1.651 |
2019-02-12 | Bokslutskommuniké 2018 |
2018-11-06 | Kvartalsutdelning OCY 1.5952 |
2018-11-01 | Kvartalsrapport 2018-Q3 |
2018-07-17 | Kvartalsutdelning OCY 1.5473 |
2018-07-12 | Kvartalsrapport 2018-Q2 |
2018-05-08 | Kvartalsutdelning OCY 1.5324 |
2018-05-03 | Kvartalsrapport 2018-Q1 |
2018-04-17 | Årsstämma 2018 |
2018-02-20 | Kvartalsutdelning OCY 1.47 |
2018-02-15 | Bokslutskommuniké 2017 |
2017-11-07 | Kvartalsutdelning OCY 1.53 |
2017-11-02 | Kvartalsrapport 2017-Q3 |
2017-07-18 | Kvartalsutdelning OCY 1.5305 |
2017-07-13 | Kvartalsrapport 2017-Q2 |
2017-05-12 | Kvartalsutdelning OCY 1.5977 |
2017-05-08 | Kvartalsrapport 2017-Q1 |
2017-04-20 | Årsstämma 2017 |
2017-02-21 | Kvartalsutdelning OCY 1.519 |
2017-02-16 | Bokslutskommuniké 2016 |
2016-11-07 | Kvartalsutdelning OCY 1.4531 |
2016-11-02 | Kvartalsrapport 2016-Q3 |
2016-07-18 | Kvartalsutdelning OCY 1.4512 |
2016-07-12 | Kvartalsrapport 2016-Q2 |
2016-05-18 | Kvartalsutdelning OCY 1.3771 |
2016-05-09 | Kvartalsrapport 2016-Q1 |
2016-04-12 | Årsstämma 2016 |
2016-02-23 | Kvartalsutdelning OCY 1.4 |
2016-02-17 | Bokslutskommuniké 2015 |
2015-11-06 | Kvartalsutdelning OCY 1.3469 |
2015-11-02 | Kvartalsrapport 2015-Q3 |
2015-07-15 | Kvartalsutdelning OCY 1.2432 |
2015-07-09 | Kvartalsrapport 2015-Q2 |
2015-05-08 | Kvartalsutdelning OCY 1.0865 |
2015-05-04 | Kvartalsrapport 2015-Q1 |
2015-04-22 | Årsstämma 2015 |
2015-03-03 | Kvartalsutdelning OCY 1.0926 |
2015-02-25 | Bokslutskommuniké 2014 |
2014-11-17 | Kvartalsutdelning OCY 0.9346 |
2014-07-17 | Kvartalsutdelning |
2014-05-15 | Kvartalsutdelning |
2014-04-28 | Årsstämma 2014 |
2014-03-04 | Kvartalsutdelning |
2014-02-24 | Bokslutskommuniké 2013 |
2013-11-20 | Kvartalsutdelning |
2013-11-05 | Extra Bolagsstämma 2013 |
2013-03-15 | Ordinarie utdelning |
Beskrivning
Land | Norge |
---|---|
Lista | OB Match |
Sektor | Tjänster |
Industri | Shipping & Offshore |
We refer to the outstanding up to EUR 100,000,000 senior secured callable floating rate bonds issued by Fiven ASA ("Fiven") with ISIN SE0012453850 (the "Bonds") and to the terms and conditions of the Bonds (the "Terms and Conditions").
Reference is further made to a call notice dated 10 June 2021, in which Fiven informed the holders of the Bonds that it exercises its option to redeem all outstanding Bonds in full pursuant to Clause 9.3 (Voluntary total redemption (call option)) of the Terms and Conditions (the "Call Notice"), on 8 July 2021 (the "Redemption Date"). Fiven's obligation to redeem the Bonds on the Redemption Date is conditioned upon Fiven issuing senior secured sustainability-linked floating rate bonds on terms that are acceptable for Fiven (the "New Bonds") and fulfilling the conditions precedent for disbursement of the net proceeds from the issue of the New Bonds which are, among other things, to be applied towards financing the redemption of the Bonds (the "Financing Condition").
Fiven hereby confirms that the Financing Condition is fulfilled and undertakes to unconditionally redeem the outstanding Bonds on 8 July 2021 in accordance with the Call Notice.
For further information, please contact:
Stein Erik Ommundsen, Group CFO and General Manager
+47 975 10 481, Stein.E.Ommundsen@Fiven.com
Stefan Mokros, IR Manager
+49 221 6507 6097, stefan.mokros@fiven.com
This information is information that Fiven ASA is obliged to make public pursuant to the EU Market Abuse Regulation. The information was submitted for publication, through the agency of the contact person set out above, at 18:00 CET on 30 June 2021.