WBL Corporation Limited co reg no. 191200028Z S$158,427,479 IN AGGREGATE PRINCIPAL AMOUNT OF 2.5 PER CENT. CONVERTIBLE BONDS DUE 2014 PAYMENT OF INTEREST

WBL Corporation Limited (the "Company") refers to the S$158,427,479 in aggregate principal amount of 2.5 per cent. convertible bonds due 2014 which were issued by the Company on 10 June 2009. The aggregate principal amount of convertible bonds which remains outstanding is S$9,366,243 (the "Convertible Bonds").
The Company wishes to announce that the upcoming interest payment date for the Convertible Bonds will be on 10 December 2013.
Under the terms and conditions of the Convertible Bonds, the Convertible Bonds bear interest at the rate of 2.5 per cent. per annum on the principal amount of the Convertible Bonds, payable semi-annually in arrear on 10 June and 10 December in each year (each an "Interest Payment Date"), commencing 10 December 2009. Subject to the terms and conditions of the Convertible Bonds, each Convertible Bond will cease to bear interest (i) from and including the Interest Payment Date last preceding the date of conversion of the Convertible Bond, or (ii) from the due date of redemption thereof unless upon surrender, payment of the full amount due is improperly withheld or refused or default is otherwise made in respect of any such payment. Interest will be paid to the bondholder shown on the Register at the close of business on 29 November 2013.
Bondholders shall not be entitled to any interest or other payment for any delay in receiving the interest payment.

BY ORDER OF THE BOARD

Tan Swee Hong
Secretary
Singapore
12 November 2013

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