May 14 (Reuters) - Cona Resources Ltd CONA.TO :
* CONA RESOURCES LTD. ANNOUNCES BORROWING BASE REDETERMINATION AND AMENDMENTS TO ITS CREDIT FACILITY
* CONA RESOURCES LTD - BORROWING BASE AND COMMITMENT AMOUNT OF CREDIT FACILITY WAS REDUCED TO $300 MILLION FROM $325 MILLION
* CONA RESOURCES LTD - REVOLVING PERIOD OF CREDIT FACILITY WAS EXTENDED TO JULY 12, 2019 AND MATURITY DATE TO JULY 12, 2020