July 1 (Reuters) - Obsidian Energy Ltd OBE.TO :
* OBSIDIAN ENERGY ANNOUNCES EXTENSION OF SYNDICATED CREDIT FACILITY REDETERMINATION DATE
* OBSIDIAN ENERGY LTD - BORROWING BASE UNDER SYNDICATED CREDIT FACILITY CONTINUES TO BE $550 MILLION WITH CAPACITY OF $460 MILLION DURING EXTENSION PERIOD
* OBSIDIAN ENERGY LTD - EXTENDED SYNDICATED CREDIT FACILITY REDETERMINATION DATE UNTIL AUGUST 30
* OBSIDIAN ENERGY LTD - ANTICIPATES CLOSING PROP DISPOSITION ON OR ABOUT JULY 31