Skip to main content

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


Primary Logo

Recent Quotes

View More
Symbol Price Change (%)
AMZN  204.86
+0.07 (0.03%)
AAPL  260.55
-3.80 (-1.44%)
AMD  203.37
+3.25 (1.62%)
BAC  52.77
-0.59 (-1.11%)
GOOG  303.56
-0.38 (-0.13%)
META  644.78
+1.56 (0.24%)
MSFT  398.31
-1.29 (-0.32%)
NVDA  187.90
-0.08 (-0.04%)
ORCL  156.55
+0.38 (0.24%)
TSLA  411.67
+0.35 (0.09%)
Stock Quote API & Stock News API supplied by www.cloudquote.io
Quotes delayed at least 20 minutes.
By accessing this page, you agree to the Privacy Policy and Terms Of Service.