Partner Communications Reports The Interest Rate For The Series D Notes For The Period Commencing On July 1, 2021 And Ending On September 30, 2021 prnewswire.com - get the latest breaking news, showbiz & celebrity photos, sport news & rumours, viral videos and top stories from prnewswire.com Daily Mail and Mail on Sunday newspapers.
Partner Communications Reports the Interest Rate for the Series D Notes for the Period Commencing on March 31, 2021 and Ending on June 30, 2021
USA - English
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Partner Communications Company Ltd. ( Partner or the Company ) (NASDAQ: PTNR) (TASE: PTNR),
a leading Israeli communications operator, reports, pursuant to the Company s Shelf Prospectus dated September 3, 2009, as amended to date
,
and the Supplemental Shelf Offering Report dated April 15, 2010, as amended to date (the Offering Report ), that the Company s Series D Notes will bear interest at a rate of 0.297% for the period commencing on March 31, 2021 and ending on June 30, 2021.
Such interest rate is based on an annual yield of short term debt issued by the State of Israel ( Makam ) (as defined in the Offering Report) at a rate of -0.013% and the fixed annual margin for the Series D Notes at a rate of 1.20%, representing a total annual interest rate of 1.187%
Partner Communications Reports the Interest Rate for the Series D Notes for the Period Commencing on March 31, 2021 and Ending on June 30, 2021 prnewswire.com - get the latest breaking news, showbiz & celebrity photos, sport news & rumours, viral videos and top stories from prnewswire.com Daily Mail and Mail on Sunday newspapers.
Partner Communications Reports The Interest Rate For The Series D Notes For The Period Commencing On December 31, 2020 And Ending On March 30, 2021
USA - English
Share this article
Partner Communications Company Ltd. ( Partner or the Company ) (NASDAQ: PTNR) (TASE: PTNR),
a leading Israeli communications operator, reports, pursuant to the Company s Shelf Prospectus dated September 3, 2009, as amended to date
,
and the Supplemental Shelf Offering Report dated April 15, 2010, as amended to date (the
Offering Report ), that the Company s Series D Notes will bear interest at a rate of 0.307% for the period commencing on December 31, 2020 and ending on March 30, 2021.
Such interest rate is based on an annual yield of short term debt issued by the State of Israel ( Makam ) (as defined in the Offering Report) at a rate of 0.0275% and the fixed annual margin for the Series D Notes at a rate of 1.20%, representing a total annual interest rate of 1.228%