11/19/2021 | Press release | Distributed by Public on 11/19/2021 04:01
19 Nov 2021 10:54 CET
NORWEGIAN AIR SHUTTLE, Norwegian Air Shuttl ASA 15/19 7,25% EUR, Norwegian Air Shuttle ASA 17/20 FRN SEK, Norwegian Air Sh ASA 20/PERP 0 pct SEK CONV, Norwegian Air Sh ASA 20/PERP 0 pct EUR CONV, Norwegian Air Sh ASA 20/PERP 0 pct USD CONV, Norwegi ASA 21/PERP FRN FLOOR C SUB CONV, Norwegian Air Shuttle ASA 21/26 ADJ C
NO0010196140, NO0010753437, NO0010783459, NO0010883473, NO0010883416, NO0010883515, NO0010996440, NO0010996390, NO0010996432
Oslo Børs
NAS
Reference is made to the interest payment due on the 1 December 2021 in the bond
issues NO0010996432 and NO0010996440. The Bond Trustee has within the deadline
set out in clause 9.3 (b) of the Bond Terms received a notice from the Issuer
that the Interest Payment, in accordance with clause 9.3 of the Bond Terms, will
be paid by issuing new Bonds ("PIK Bonds").
For further details please see the attached notice from Nordic Trustee.
Fornebu, 19 November 2021
Norwegian Air Shuttle ASA
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