OCY - Key information relating to full redemption of bond loan

22 Apr 2021
Issuer: Ocean Yield ASAISIN for bond loan: NO0010774417Original maturity date: 21 September 2021New maturity date: 8 June 2021Redemption price: 100.00%Other information: Bond issue OCY04Company contact:Eirik Eide (CFO), Tel +47 24 13 01 91Investor Relations contact:Marius Magelie (SVP Finance & Investor Relations), Tel +47 24 13 01 82Company information:Ocean Yield ASA is a ship owning company with investments in vessels on long-term charters. The company has a significant contract backlog that offers visibility with respect to future earnings and dividend capacity.