Change of significant shareholdings, MPC Container Ship

HOLD Asset Management Ltd. as investment manager of the investment funds detailed below increased ownership in MPC Container Ships AS(NO0010791353) above 15%.

Name of investment manager acting in the name and on behalf of the funds: HOLD Asset Management Ltd.
Registered office: H-1123 Budapest, Alkotás u. 50., Hungary
Trade date of purchase: July 13, 2020
Settlement date of purchase: July 15, 2020 (TBD, due to private placement)
Event triggering the notification: increase of voting rights

Current ownership: 64,219,526 shares representing 16.31% of the 393,711,355 voting
rights and of the share capital.

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