- Dividend amount: USD 0.185 per share
- Declared currency: USD
- Last day of trading including right: July 31, 2017
- Ex-date: August 1, 2017
- Record date: August 2, 2017
- Payment date: August 9, 2017
- Date of approval: July 13, 2017
As per the updated loan agreement in the DETNOR02 bond loan (ISIN: NO 001068414.5), clause 12.4, bondholders have an option to put bonds at 107% of the dividend distribution amount. A distribution event notice will be sent to bondholders on the dividend payment date.
This information is published in accordance with the requirements of the Continuing Obligations.