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A
Private Investor is a recipient of the information who meets all of the conditions set out below, the recipient: 1. Obtains access to the information in a personal capacity; 2. Is not required to be regulated or supervised by a body concerned with the regulation or supervision of investment or financial services; 3. Is not currently registered or qualified as a professional securities trader or investment adviser with any national or state exchange, regulatory authority, professional association or recognised professional body; 4. Does not currently act in any capacity as an investment adviser, whether or not they have at some time been qualified to do so;
(formerly known as Kennedy Wilson Europe Real Estate Plc)
(the Issuer ) NOTICE IS HEREBY GIVEN to the holders of the Bonds (the Bondholders ) of the Make Whole Redemption Price, following the publication by the Issuer on 25 March 2021 of a notice announcing that it had elected to redeem £150,000,000 in aggregate nominal amount of the Bonds in accordance with (i) Condition 5(c) (Redemption at the Option of the Issuer) of the Terms and Conditions of the Bonds (the Conditions ) and (ii) the terms of the permanent global bond representing the Bonds.
Terms used in this notice but not defined herein shall have the meaning given them in the Conditions.
A
Private Investor is a recipient of the information who meets all of the conditions set out below, the recipient: 1. Obtains access to the information in a personal capacity; 2. Is not required to be regulated or supervised by a body concerned with the regulation or supervision of investment or financial services; 3. Is not currently registered or qualified as a professional securities trader or investment adviser with any national or state exchange, regulatory authority, professional association or recognised professional body; 4. Does not currently act in any capacity as an investment adviser, whether or not they have at some time been qualified to do so;
DGAP-News: Fyber N.V.: Optional Redemption Notice for Convertible Bonds XS1223161651
Fyber N.V.: Optional Redemption Notice for Convertible Bonds XS1223161651
15.04.2021 / 14:11
Optional Redemption Notice
ISIN: XS1223161651
15 April 2021
This is an Optional Redemption Notice. Capitalised terms not otherwise defined in this notice shall have the meanings given to them in the Terms and Conditions of the Bonds (the
Conditions
).
Notice is hereby given to the Bondholders in accordance with the Conditions that the Issuer is exercising its option pursuant to Condition 6(b)(i) to redeem all of the outstanding Bonds on
17 May 2021 (the
Optional Redemption Date ) at their principal amount together with accrued but unpaid interest to, but excluding, such date of €9.597,93 per Bond.