BRIEF-Trilogy Energy amends credit facility to re-determine borrowing base to $300 mln
May 17 (Reuters) - Trilogy Energy Corp
* Maturity date has been extended from April 30, 2017 to April 30, 2018
* Borrowing base has been re-determined at $300 million
* Increase in pricing for all borrowings in excess of $250 million
* Trilogy Energy Corp. announces amendments to its credit facility Source text for Eikon: Further company coverage: (Bengaluru Newsroom: +1 646 223 8780)
© Thomson Reuters 2017 All rights reserved.