Company: CMDB
Filing Date: 2025-05-30
Form Type: F-3
Source: 0001140361-25-020943
Chunk: 13

Company: Costamare Bulkers Holdings Ltd
Filing Date: 2025-05-30
Form: F-3
Chunk 13
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 with the principal amount or interest payable on any relevant payment date to be determined by reference to one or more currency exchange rates, securities or baskets of securities, commodity prices or indices. Holders of these types of debt securities will receive payments of principal or interest that depend upon the value of the applicable currency, security or basket of securities, commodity or index on the relevant payment dates. Debt securities may bear interest at a fixed rate, which may be zero, a floating rate, or a rate which varies during the lifetime of the debt security. Debt securities bearing no interest or interest at a rate that at the time of issuance is below the prevailing market rate may be sold at a discount below their stated principal amount. Terms Specified in the Applicable Prospectus Supplement The applicable prospectus supplement will contain, where applicable, the following terms of, and other information relating to, any offered debt securities:

| • | the specific designation; |

| • | any limit on the aggregate principal amount of the debt securities, their purchase price and denomination; |

| • | the currency in which the debt securities are denominated and/or in which principal, premium, if any, and/or interest, if any, is payable; |

| • | the date of maturity; |

| • | the interest rate or rates or the method by which the calculation agent will determine the interest rate or rates, if any; |

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| • | the interest payment dates, if any; |

| • | the place or places for payment of the principal of and any premium and/or interest on the debt securities; |

| • | any repayment, redemption, prepayment or sinking fund provisions, including any redemption notice provisions; |

| • | whether we will issue the debt securities in registered form or bearer form or both and, if we are offering debt securities in bearer form, any restrictions applicable to the exchange of one form for another and to the offer, sale and delivery of those debt securities in bearer form; |

| • | whether we will issue the debt securities in definitive form and under what terms and conditions; |

| • | the terms on which holders of the debt securities may convert or exchange these securities into or for common stock or other securities, any specific terms relating to the adjustment of the conversion or exchange feature and the period during which the holders may make the conversion or exchange; |

| • | information as to the methods for determining the amount of principal or interest payable on any date and/or the currencies, securities or baskets of securities,