Statement re Notice of Redemption
March 10 2010 - 7:10AM
UK Regulatory
TIDM35YA
RNS Number : 3668I
Permanent Financing (No.6) PLC
10 March 2010
RNS ANNOUNCEMENT
PERMANENT FINANCING (NO. 6) PLC(the Sixth Issuer)
NOTICE OF REDEMPTION
EUR750,000,000 Series 4 Class A Asset Backed Floating Rate Notes due June 2042
(ISIN: XS0205329559 - Common Code: 020532955 - CUSIP: N/A)
EUR26,100,000
Series 4 Class B Asset Backed Floating Rate Notes due June 2042 (ISIN:
XS0205331027 - Common Code: 020533102 - CUSIP: N/A)
EUR25,300,000 Series 4
Class C Asset Backed Floating Rate Notes due June 2042 (ISIN: XS0205331290 -
Common Code: 020533129 - CUSIP: N/A)
10 March 2010
Notice is given by the Sixth Issuer to the Sixth Issuer Noteholders that the
Seller on the Funding 1 Interest Payment Date on the date hereof made a payment
to Funding 1 pursuant to and in compliance with Clause 7.1(a) of the Mortgages
Trust Deed in an amount which together with the Funding 1 Available Principal
Receipts that were available to Funding 1 in accordance with the Funding 1
Pre-Enforcement Principal Priority of Payments was sufficient to enable Funding
1 to:
(a) repay the final Scheduled Amortisation Instalment in respect of the
Sixth Issuer Series 4 Term AAA Advance due under and in compliance with the
Sixth Issuer Intercompany Loan Agreement so that the Sixth Issuer was able to
redeem the following Sixth Issuer Notes in full on the date hereof pursuant to
and in compliance with Condition 5(B):
(i) EUR750,000,000 Series 4 Class A Asset Backed Floating Rate Notes due
June 2042.
In addition, on the date hereof, the Funding 1 Available Principal Receipts that
were available to Funding 1 in accordance with the Funding 1 Pre-Enforcement
Principal Priority of Payments were sufficient to enable Funding 1 to:
(a) repay (i) the Sixth Issuer Series 4 Term AA Advance and (ii) the
Sixth Issuer Series 4 Term BBB Advance due under and in compliance with the
Sixth Issuer Intercompany Loan Agreement so that the Sixth Issuer was able to
redeem the following Sixth Issuer Notes in full on the date hereof pursuant to
and in compliance with Condition 5(B):
(i) EUR26,100,000 Series 4 Class B Asset Backed Floating Rate Notes due
June 2042; and
(ii) EUR25,300,000 Series 4 Class C Asset Backed Floating Rate Notes due
June 2042.
All defined terms used in this notice shall have the meaning given to them in
the Sixth Issuer Master Definitions and Construction Schedule dated 18 November
2004 and the Amended and Restated Master Definitions and Construction Schedule
dated 24 September 2009 (as applicable).
For further information please contact:
Bank of Scotland plc
Structured Securitisation Group
10 Gresham Street
London
EC2V 7AE
Attention: Gavin Parker
This information is provided by RNS
The company news service from the London Stock Exchange
END
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