The Board of Directors of ASL Marine Holdings Ltd. announced the following payments in respect of the S$50 million in principal amount of Fixed Rate Notes due in October 2026 (ISIN: SG6TC3000008) (the "Series 007 Notes") issued under the S$500 million Multicurrency Debt Issuance Programme of the Company. Last Principal Amount SGD 45,250,000. Current Principal Amount is SGD 45,000,000. Interest Period is from 1 October 2020 to 31 March 2021. Interest Rate is 3.00% per annum. Base Mandatory Redemption Amount is SGD 250,000.00 and Interest Amount is SGD 676,890.28 and Payment Date is 1 April 2021.