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Bonds

Convertible Bond

Issuer Frontline Ltd.  
Issue amount US$ 225,000,000  
Issue date April 14, 2010  
Maturity April 14, 2015  
Issue price 100%  
Coupon 4.50%  
Coupon payment Quarterly  
Conversion price US$ 36.5567 March 7, 2011
Stock exchange Not listed  
ISIN code NO 0010571490  
 
Loan agreement
US$ 225,000,000 CB Loan Agreement ISIN NO 001 0571490
Conversion premium adjustment
Conversion Premium adjustment - US$ 225,000,000 CB Mar 7, 2011
Conversion Premium adjustment - US$ 225,000,000 CB Sep 8, 2010
Conversion Premium adjustment - US$ 225,000,000 CB Jun 2, 2010
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