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Investor Presentaiton

OUE COMMERCIAL RET • Debt Maturity Profile as at 30 Jun 2017 No refinancing requirement in 2017 In September 2017, extended debt maturity profile with the debut issuance of S$150 million fixed rate notes due 2020 for partial refinancing of 2018 borrowings S$ million 241 295 2017 2018 2019 2020 ■SGD Term Loan ■RMB Term Loan 2021 580 2022 Share of OUB Centre Limited's Loan 29 2023 2024 Medium Term Note 20
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