FirstGroup PLC Notice of Bond Redemption
March 08 2018 - 7:05AM
UK Regulatory
TIDMFGP TIDM51GE
NOTICE TO THE HOLDERS OF
FIRSTGROUP PLC
(Registered Number: SC157176)
(the "Issuer")
GBP300,000,000 8.125 per cent. Bonds due 2018
(ISIN: XS0388470154)
(the "Bonds" and the holders thereof, the "Bondholders")
REDEMPTION AT THE OPTION OF THE ISSUER
NOTICE IS HEREBY GIVEN to the Bondholders that, pursuant to Condition 5(c) of
the Bonds, the Issuer will fully redeem all of the Bonds outstanding on 28
March 2018 (the "Repurchase Date"). The Redemption Price will be calculated on
the Calculation Date, 26 March 2018, and will be announced shortly thereafter.
Interest accrued to (but excluding) the Repurchase Date will also be paid.
Following redemption, the listing of the Bonds on the Official List of the FCA
and the admission of the Bonds to trading on the Regulated Market of the London
Stock Exchange plc will be cancelled.
Words and expressions used in this Notice shall, unless defined herein or the
context otherwise requires, have the same meaning as in the terms and
conditions of the Bonds.
This notice is given by
FIRSTGROUP PLC
Dated: 8 March 2018
Legal Entity Identifier (LEI): 549300DEJZCPWA4HKM93. Classification as per DTR
6 Annex 1R: 3.1
END
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