Oct 1 (Reuters) - Base Resources Ltd BSE.AX :
* BASE RESOURCES LTD - TO REPAY $215 MILLION KWALE PROJECT DEBT FACILITY ON 9 OCT AFTER DELIVERY OF IRREVOCABLE NOTICE OF PREPAYMENT
* BASE RESOURCES - PROJECT DEBT FACILITY TO BE REPAID FROM CASH RESERVES & EXISTING REVOLVING CREDIT FACILITY AFTER CONCURRENT RCF INCREASE TO $75 MILLION
* BASE RESOURCES LTD - RCF TENOR EXTENDED BY 18 MONTHS TO 31 DECEMBER 2021
* BASE RESOURCES - AFTER REPAYMENT OF PROJECT DEBT FACILITY, OUTSTANDING BALANCE OF RCF WILL BE ABOUT $49 MILLION & GROUP'S NET DEBT WILL BE ABOUT $33 MILLION