MPCBV01 - Key information relating to full redemption of bond loan
Issuer: MPC CONTAINER SHIPS INVEST B.V. ISIN for bond loan: NO0010805872 Original maturity date: 22 March 2023 New maturity date: 17 December 2021 Redemption price: 102.00% This information is published in accordance with the requirements of the Continuing Obligations. _________________________________________________________________________________ Notice of exercise of call option MPC Container Ships Invest B.V. (the "Company") has today notified Nordic Trustee AS (