OHA LOAN FUNDING , LLC NOTICE OF OPTIONAL REDEMPTION

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1 The Bank of New York Mellon Trust Company, National Association OHA LOAN FUNDING , LLC NOTICE OF OPTIONAL REDEMPTION NOTE: THIS NOTICE CONTAINS IMPORTANT INFORMATION THAT IS OF INTEREST TO THE REGISTERED HOLDERS AND BENEFICIAL OWNERS OF THE NOTES. IF APPLICABLE, ALL DEPOSITORIES, CUSTODIANS, AND OTHER INTERMEDIARIES RECEIVING THIS NOTICE ARE REQUESTED TO EXPEDITE RE-TRANSMITTAL TO THE REGISTERED HOLDERS AND BENEFICIAL OWNERS OF THE NOTES IN A TIMELY MANNER. January 5, 2018 To: The Holders of the Notes described as follows: Rule 144A Rule 144A Common Code Accredited Accredited Class A-1-R Notes 67706TAS1 US67706TAS15 U6815RAJ8 USU6815RAJ N/A N/A Class A-2-R Notes 67706TAU6 US67706TAU60 U6815RAK5 USU6815RAK N/A N/A Class B-1-R Notes 67706TAW2 US67706TAW27 U6815RAL3 USU6815RAL N/A N/A Class B-2-R Notes 67706TAY8 US67706TAY82 U6815RAM1 USU6815RAM N/A N/A Class C Notes 67706TAJ1 US67706TAJ16 U6815RAE9 USU6815RAE N/A N/A Class D Notes 67706TAL6 US67706TAL61 U6815RAF6 USU6815RAF N/A N/A Class E Notes 67706TAN2 US67706TAN28 N/A N/A N/A N/A N/A Subordinated Notes 67706TAQ5 US67706TAQ58 N/A N/A N/A 67706TAR3 US67706TAR32 To: Those Additional Addressees Listed on Schedule I hereto Reference is hereby made to that certain Indenture dated as of December 11, 2014 (the Original Indenture ) between OHA Loan Funding , LLC, as Issuer (the Issuer ) and The Bank of New York Mellon Trust Company, National Association, as Trustee (the Trustee ) as supplemented by that certain First Supplemental Indenture dated as of March 24, 2017 (the Supplemental Indenture and together with the Original Indenture, the Indenture ). Capitalized terms not otherwise defined herein shall have the meanings ascribed to such terms in the Indenture. No representation is made as to the correctness of the CUSIP, Common Code or ISIN numbers either as printed on the Notes or as contained in this notice. Such numbers are included solely for the convenience of the Holders.

2 Pursuant to Section 9.2 of the Indenture, a Majority of the Subordinated Notes directed the Issuer to redeem the Secured Notes and the Subordinated Notes. The Issuer has provided notice to the Trustee of the Redemption Date, the applicable Record Date, the principal amount of Notes to be redeemed on the Redemption Date and the Redemption Price of such Notes. In accordance with Section 9.3 of the Indenture and at the direction of the Issuer, the Trustee hereby provides notice of the following information relating to the Optional Redemption: The Redemption Date shall be January 22, The Redemption Price for the Notes shall be: for the Class A-1-R Notes U.S. $510,326, (an amount equal to (a) 100% of the Aggregate Outstanding Amount of the Class A-1-R Notes plus (b) accrued and unpaid interest for the Class A-2-R Notes U.S. $25,184, (an amount equal to (a) 100% of the Aggregate Outstanding Amount of the Class A-2-R Notes plus (b) accrued and unpaid interest for the Class B-1-R Notes U.S. $52,395, (an amount equal to (a) 100% of the Aggregate Outstanding Amount of the Class B-1-R Notes plus (b) accrued and unpaid interest for the Class B-2-R Notes U.S. $30,068, (an amount equal to (a) 100% of the Aggregate Outstanding Amount of the Class B-2-R Notes plus (b) accrued and unpaid interest for the Class C Notes U.S. $34,403, (an amount equal to (a) 100% of the Aggregate Outstanding Amount of the Class C Notes plus (b) accrued and unpaid interest Date); for the Class D Notes U.S. $39,053, (an amount equal to (a) 100% of the Aggregate Outstanding Amount of the Class D Notes plus (b) accrued and unpaid interest Date); for the Class E Notes U.S. $51,478, (an amount equal to (a) 100% of the Aggregate Outstanding Amount of the Class E Notes plus (b) accrued and unpaid interest Date); and for the Subordinated Notes, its proportional share of the amount of the proceeds of the 2

3 Assets (including proceeds created when the lien of the Indenture is released) remaining after giving effect to the Optional Redemption of the Secured Notes and payment in full of all expenses of the Issuer. All of the Secured Notes are to be redeemed in full, and interest on the Secured Notes shall cease to accrue on the Redemption Date. Subject to the paragraph below, the Subordinated Notes are to be redeemed in full on the Redemption Date. This notice of redemption may be withdrawn upon the occurrence of certain conditions, as set forth in the Indenture. The Issuer has advised the Trustee that certain items of Collateral Obligations may not be sold prior to the Redemption Date. In light of the foregoing, additional amounts may become available for distribution to the Holders of Subordinated Notes after the Redemption Date and the distribution of any such amounts may be made on dates other than a Payment Date. Accordingly, the Subordinated Notes should not be surrendered at this time. The Trustee will send written notice to the Holders of the Subordinated Notes regarding surrender of such Notes at a later date. Notwithstanding anything herein to the contrary, the completion of the Optional Redemption described herein is subject to the satisfaction of any additional conditions to the Optional Redemption set forth in the Indenture. With respect to any Certificated Secured Notes, payment on such Secured Notes will be made only upon presentation and surrender of such Secured Notes on or prior to the Redemption Date to the Trustee by one of the following methods: By First Class Registered/Certified mail: The Bank of New York Mellon Trust Company, National Association Global Corporate Trust P.O. Box 2320 Dallas, Texas By Express Delivery Only: The Bank of New York Mellon Trust Company, National Association Global Corporate Trust 2001 Bryan Street, 9 th Floor Dallas, Texas By Hand Only: The Bank of New York Mellon 101 Barclay Street New York, New York, st Floor East Corporate Trust Window Under the Jobs and Growth Tax Relief Reconciliation Act of 2003, paying agents are required to withhold 28% of gross payments to Holders who are United States persons for U.S. tax purposes and fail to provide a valid taxpayer identification number, or who are not United States persons and fail to provide an appropriate IRS Form W-8, on or before the date upon which Notes are presented for payment. Holders who are United States persons are additionally subject to a penalty of $50 for failure to provide a taxpayer identification number. To avoid this 28% withholding, when presenting Notes for payment, please submit a Form W-9 if you are a United States person, or an appropriate Form W-8 if you are not a United States person, or other appropriate IRS form. 3

4 Should you have any questions, please contact Yen Tran at (713) or at THE BANK OF NEW YORK MELLON TRUST COMPANY, NATIONAL ASSOCIATION, as Trustee 4

5 SCHEDULE I Additional Addressees Issuer: OHA Loan Funding , LLC c/o Maples Fiduciary Services (Delaware) Inc Kennett Pike, Suite 302 Wilmington, Delaware Attn: Fiduciary Services delawareservices@maplesfs.com Irish Listing Agent: Maples and Calder 75 St. Stephen s Green Dublin 2, Ireland Fax: dublindebtlisting@maplesandcalder.com Irish Stock Exchange: 28 Anglesea Street Dublin 2, Ireland Portfolio Manager: Oak Hill Advisors, L.P Avenue of the Americas New York, New York Attn: Gregg Rubin Fax: (212) GRubin@ohpny.com Rating Agencies: Moody s Investors Service, Inc. cdomonitoring@moodys.com Fitch Ratings, Inc. cdo.surveillance@fitchratings.com DTC, Euroclear & Clearstream (if applicable): legalandtaxnotices@dtcc.com voluntaryreorgannouncements@dtcc.com redemptionnotification@dtcc.com drit@euroclear.com ca_mandatory.events@clearstream.com 5

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