Ellenbrook Developments PLC Bondholder Meeting Notice (0524V)
April 09 2021 - 12:29PM
UK Regulatory
TIDMAJ13
RNS Number : 0524V
Ellenbrook Developments PLC
09 April 2021
ELLENBROOK DEVELOPMENTS PLC (the "Issuer")
(Incorporated with limited liability in England and Wales under
company number 4318115)
NOTICE
to the holders of those of the outstanding
GBP59,965,000 3.3894 per cent. Index-Linked Guaranteed Secured
Bonds due 2032 (the "Bonds") constituted by a Bond Trust Deed dated
6 February 2002
(the "Bond Trust Deed")
unconditionally and irrevocably guaranteed as to scheduled
payments of
principal and interest (adjusted for indexation in accordance
with the Conditions) pursuant to a financial guaranty insurance
policy issued by
FINANCIAL SECURITY ASSURANCE (U.K.) LIMITED ("FSA")
(Incorporated with limited liability in England and Wales under
company number 2510099)
NOTICE IS HEREBY GIVEN to the holders of the above Bonds that in
accordance with Clause 10.1.7 of the Bond Trust Deed and Condition
14 (a) of the Terms and Conditions of the Bonds you are hereby
invited to the annual meeting of Bondholders at which senior
management of the Issuer and (to the extent that the Issuer is able
to procure its/their attendance) (a) representative(s) of FSA will
be present to respond to questions from Bondholders. This meeting
will be held by call on Tuesday, 18(th) May 2021 at 2.00pm.
Citibank N.A. will provide instructions for the call to any
Bondholder who informs Clearstream, Luxembourg or Euroclear they
wish to join the call in accordance with the following
paragraph.
Any holder who wishes to attend the Meeting must inform
Clearstream, Luxembourg or Euroclear, as applicable, not less than
48 hours before the time appointed for the holding of the Meeting
and, within the relevant time limit specified by Clearstream,
Luxembourg or Euroclear, as the case may be, request the relevant
clearing system to block the Bonds in the account of the holder and
to hold the same to order and under the control of the Trustee. Any
Bonds so blocked will be released to the holder by the relevant
clearing system at the conclusion of the Meeting.
The Paying Agent with respect to the Bonds is as follows:
Citibank N.A.
21st Floor, Citigroup Centre
Canada Square
Canary Wharf
London
E14 5LB
ISIN Code XS0142734416
This Notice is given by:
Ellenbrook Developments plc
8 White Oak Square
Swanley
Kent, BR8 7AG
J Falero (Director)
9(th) April 2021
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END
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