Doric Nimrod Air Two Limited Partial Compulsory Redemption of Shares (2342W)
December 11 2023 - 2:00AM
UK Regulatory
TIDMDNA2
RNS Number : 2342W
Doric Nimrod Air Two Limited
11 December 2023
11 December 2023
DORIC NIMROD AIR TWO LIMITED (the "Company")
(Legal Entity Identifier: 213800ENH57LLS7MEM48)
Return of Capital by a Partial Compulsory Redemption of
Shares
The Company announces the following in respect of a return of
capital by way of a partial compulsory redemption of shares.
Partial Compulsory Redemption of Shares
As per the notice released to shareholders on 9 October 2023
which announced the sale of two of the Company's A380 aircraft to
Emirates, the Company confirms that both sales have now been
completed.
As announced at the time, the Company intended to return monies
to Shareholders and the Directors are pleased to confirm that they
are able to return an amount of GBP 59.229 million on 18 December
2023 (the "Redemption Date") for shareholders on the register of
members as at close of business on 15 December 2023 ("Record
Date"), by way of a partial compulsory redemption (the
"Redemption") of two ordinary preference shares ("Shares") for
every seven Shares in the Company, being 49,357,143 Shares of the
Company.
The Redemption will be effected at 120 pence per Share.
All redemption proceeds are expected to be paid in pounds
sterling using the existing mandate record held on file on or
around 27 December 2023. Where no payment details are held on file,
payment will be made by cheque posted to the address of the
registered holder. Shareholders may elect to receive their proceeds
by electronic bank transfer by request sent to the Company's
Registrar JTC Registrars Limited, PO Box 156, Dorey Court, Admiral
Park, St Peter Port, Guernsey GY1 4EU. Such requests should be sent
initially to registrars@jtcgroup.com and this will need to be
provided by close of business on 14 December 2023 in order for the
election to be effective. The request must specify the full bank
account details of the account (which must be in the name of the
registered holder(s)) to which the redemption proceeds are to be
paid. All bank payment charges will be for the account of the
payee.
All of the Shares redeemed on the Redemption Date will be
cancelled. Accordingly, once redeemed, such Shares will be
incapable of transfer and any certificates existing in respect of
the Shares will cease to be of value.
The Shares will be disabled in CREST on the Record Date and the
existing ISIN number GG00B3Z62522 will expire. A new ISIN number
GG00BMWCCD46 (the "New ISIN") in respect of the remaining Shares
which have not been redeemed will be enabled and available for
transactions on 18 December 2023. Any Shares which have traded on
or before the Record Date, but have not settled, will be included
in the Redemption. CREST will automatically transfer any open
transactions as at the Redemption Date to the New ISIN.
Shareholders should note that the Board retains absolute discretion
as to the execution, extent and timing of any further returns of
capital.
Expected timetable:
Redemption Record Date 6.00 p.m. on 15 December 2023
Redemption Date 18 December 2023
------------------------------
Redemption Ex-date 18 December 2023
------------------------------
Redemption Payment Date (on 27 December 2023
or around)
------------------------------
For further information, please contact:
JTC Fund Solutions (Guernsey) Limited
Secretary
Tel: +44 (0) 1481 702 400
END OF ANNOUNCEMENT
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