b'STAATSOLIE MAATSCHAPPIJ SURINAME N.V.NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2020 (Continued)5.3 FINANCIAL INSTRUMENTSInterest-bearing loans and borrowingsBond 2015 - 2020(X US$ 1,000) Maturity 2020 2019LocalBond May-20 - 99,086Current portion of the Bond - 99,086Bond 2020 - 2025(X US$ 1,000) Maturity 2020 2019LocalBond Sep-25 60,013 -Non-current portion of the loan 60,013 -Bond 2020 - 2027(X US$ 1,000) Maturity 2020 2019LocalBond Mar-27 132,826 -Non-current portion of the loan 132,826 -Revolver(X US$ 1,000) Maturity 2020 2019RevolverLoan May-25 6,000 -Non-current portion of the loan 6,000 -Term Loan(X US$ 1,000) Maturity 2020 2019Corporate term loan May-25 524,919 590,904Current portion of the loan 72,856 98,311Non-current portion of the loan 452,063 492,593Other Long Term Liabilities(X US$ 1,000) Maturity 2020 2019Loan-stitchingPensionfondsvoorwerknemers Nov-23 26,508 26,508vanStaatsolieMaatschappijSurinameN.V.139'