Optivo Finance PLC Sale of Retained Bonds (1511X)
April 25 2019 - 10:22AM
UK Regulatory
TIDM20SY
RNS Number : 1511X
Optivo Finance PLC
25 April 2019
Issuer: Optivo Finance plc
Date: 25 April 2019
Optivo Finance plc
(the "Issuer")
(Incorporated with limited liability in England and Wales
with registration number 07933814)
Notice of sale of Retained Bonds
Optivo Finance plc 3.283% Secured Bonds due 2048
ISIN: XS1787409033, Common Code: 178740903
(the "Bonds")
The Issuer has today sold GBP25,000,000 in principal amount of
its Bonds.
On 22 March 2018 the Issuer issued GBP250,000,000 in principal
amount of the Bonds, on the basis of a prospectus dated 20 March
2018 (the "Prospectus"). The Issuer immediately repurchased
GBP100,000,000 in principal amount of the Bonds (the "Retained
Bonds").
The Bonds now sold were Retained Bonds. Following the sale, the
aggregate outstanding principal amount of the Bonds in issue
remains GBP250,000,000, of which now GBP75,000,000 are Retained
Bonds held by or on behalf of the Issuer.
Note: Please refer to the Prospectus for selling restrictions in
respect of the Bonds.
Contact for more information
Tariq Kazi
Head of Treasury
Email: Tariq.Kazi@optivo.org.uk
Phone: 020 8036 2293
- END -
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END
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