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 Convertible bonds

Offering Circular

Summary of Terms and Conditions

Conversion Price

Interest payment

Listing Information

Agents and Trustee

Notice to Bondholders

 

Issuer

EURONAV

  

Currency

USD

Issue amount

150,000,000

Issue date

24/Sep/2009

Maturity

31/Jan/2015

Coupon

6.50%

Coupon payment

Semi-annually

Issue price

100%

Conversion Premium

25%

Initial Conversion Price

€16.2838

Stock Exchange

Luxembourg

ISIN code

BE6000351286


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