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Bond Overview

Senior Unsecured Convertible Notes

Issuer Ship Finance International Limited
Issue amount USD 350,000,000
Issue date January 30, 2013
Maturity February 1, 2018
Coupon 3.25%
Coupon payment Quarterly
Conversion Price USD 21.9450 (January 30, 2013)
Note denomination USD 1,000
Stock Exchange Not listed
ISIN code US G81075AE63


 Base Indenture
PDF, lite Indenture Supplement 


Issuer Ship Finance International Limited
Issue amount USD 125,000,000
Issue date February 8, 2010
Maturity February 10, 2016
Coupon 3.75%  
Coupon payment Semi-annually
Conversion Price USD 21.73   (December 18, 2012)
Note denomination USD 100,000
Stock Exchange Not listed
ISIN code NO 0010599699

 

PDF, lite Follow this link to get a copy of the Bond agreement

Conversion Premium Adjustment
PDF, lite Conversion Premium Adjustment - December 18, 2012
PDF, lite Conversion Premium Adjustment - September 12, 2012
PDF, lite Conversion Premium Adjustment - June 13, 2012
PDF, lite Conversion Premium Adjustment - March 9, 2012
PDF, lite Conversion Premium Adjustment - December 9, 2011
PDF, lite Conversion Premium Adjustment - September 7, 2011
PDF, lite Conversion Premium Adjustment - June 7, 2011
PDF, lite Conversion Premium Adjustment - March 9, 2011

 

Senior Unsecured Notes

Issuer Ship Finance International Limited
Issue amount NOK 600,000,000
Issue date October 19, 2012
Maturity October 19, 2017
Coupon NIBOR + 500bps*
Coupon payment Quarterly
Call option 100.5 as from April 2017
Note denomination NOK 1,000,000
Stock Exchange Oslo Stock Exchange
ISIN code NO 001 0661655
Bond Rating Not rated

* All coupon payments are fully hedged to fixed USD at 6.06% p.a.

PDF, lite Registration Document for listing at Oslo Børs (Oslo Stock Exchange) 
 Securities note
PDF, lite Follow this link to get a copy of the Bond agreement

 
Issuer Ship Finance International Limited
Outstanding amount NOK 436,500,000
Issue amount NOK 500,000,000
Issue date October 6, 2010
Maturity April 7, 2014
Coupon NIBOR + 400bps*
Coupon payment Quarterly
Call option 100.5 as from October 2013
Note denomination NOK 500,000
Stock Exchange Oslo Børs ASA’s Alternative Bond Market
ISIN code NO 001 058883.3
Bond Rating Not rated

* All coupon payments are fully hedged to fixed USD at 5.32% p.a.

PDF, lite Follow this link to get a copy of the Bond agreement