E.L.A.N. Limited Redemption Date Notice (8340N)
August 11 2017 - 11:30AM
UK Regulatory
TIDM36PU
RNS Number : 8340N
E.L.A.N. Limited
11 August 2017
THIS NOTICE IS IMPORTANT AND REQUIRES YOUR IMMEDIATE
ATTENTION
E.L.A.N. Limited
44 Esplanade
ST HELIER
JERSEY
JE4 9WG
CHANNEL ISLANDS
(the "ISSUER")
ANNOUNCEMENT
E.L.A.N. Limited Series 2007-5
JPY1,000,000,000 Secured Floating Rate Notes due August 2017
ISIN: XS0307424514 (the "Notes")
Terms defined in the terms and conditions of the Notes shall
have the same meaning in this notice.
Further to the notice given on 26 July 2017 in respect of the
occurrence of an Underlying Disposal Event pursuant to Condition
7(b)(i)(a) of the Notes.
The Notes will be redeemed on the Early Redemption Date in
accordance with the provisions of Condition 7(b)(i) (Underlying
Disposal Event) of the Notes.
Further to the notice given on 7 August 2017 in respect of the
Redemption Date of the Notes being Monday 14 August. We inform
Noteholders that given that Friday 11 August is not a Business Day
in Japan, the Notes will now redeem on Tuesday 15 August.
We hereby give notice that the Notes will redeem on Tuesday 15
August 2017 and that the amount payable in respect of each Note
shall be zero.
For further information please contact:
The Directors
E.L.A.N. Limited
Fax No. + 44 1534 504 444
Email: elan@intertrustgroup.com
Attention: Capital Markets
Date: 10 August 2017
This announcement has been issued through the Companies
Announcement Service of
the Irish Stock Exchange.
This information is provided by RNS
The company news service from the London Stock Exchange
END
ISESFUFIFFWSEEA
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