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Pin to quick picksAffinity 5 7/8% Regulatory News (72YE)

Share Price Information for Affinity 5 7/8% (72YE)

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Result of Exchange Offer

18 Aug 2016 13:30

RNS Number : 5736H
Affinity Water Programme Finance Ld
18 August 2016
 

NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION TO ANY U.S. PERSON OR INTO THE UNITED STATES OR ANY OTHER JURISDICTION WHERE IT IS UNLAWFUL TO DISTRIBUTE THIS ANNOUNCEMENT

18 August 2016

AFFINITY WATER PROGRAMME FINANCE LIMITED ANNOUNCES THE RESULTS OF ITS EXCHANGE OFFER

On 9 August 2016, Affinity Water Programme Finance Limited (the "Issuer") announced an invitation to holders of the Sub-Class A1 £80,000,000 3.625 per cent. Guaranteed Bonds due 2022 issued by the Issuer and guaranteed by Affinity Water Holdings Limited, Affinity Water Limited and Affinity Water Finance (2004) PLC (the "Existing Bonds") to offer to exchange any and all of their Existing Bonds for Sub-Class A4 sterling-denominated fixed rate guaranteed bonds due 2042 (the "New Bonds") to be issued by the Issuer under its £2,500,000,000 Multicurrency Programme for the issuance of Guaranteed Bonds (the "Exchange Offer").

The Exchange Offer was made on the terms and subject to the conditions and restrictions set out in an exchange offer memorandum dated 9 August 2016 (the "Exchange Offer Memorandum") and this announcement should be read in conjunction with the Exchange Offer Memorandum. Capitalised terms used and not otherwise defined in this announcement have the meanings given in the Exchange Offer Memorandum.

The Exchange Offer expired at 4.00 p.m. (London time) on 17 August 2016.

The Issuer hereby announces that the results of the Exchange Offer are as follows:

Existing Bonds

Existing Bonds

ISIN

Aggregate nominal amount of Existing Bonds accepted for exchange

 

2022 Reference Gilt Yield

 

2022 Exchange Value

Sub-Class A1 £80,000,000 3.625% Guaranteed Bonds due 2022

XS0883690090

£65,796,000

 

0.280 per cent.

114.364 per cent.

 New Bonds to be issued in exchange for Existing Bonds

New Issue Price

 

ISIN

2042 Reference Gilt Yield

2042 Exchange Yield

New Bonds Coupon

Maturity

100 per cent.

XS1480879540

1.271 per cent.

2.521 per cent.

3.278 per cent.

22 August 2042

 

All Existing Bonds offered for exchange have been accepted in full by the Issuer and accordingly the Issuer has decided to accept £65,796,000 in aggregate nominal amount of the Existing Bonds.

 

The Issuer will issue New Bonds (excluding Additional Bonds) in aggregate principal amount of £65,796,000 and Additional Bonds in the aggregate principal amount of £19,204,000. The aggregate principal amount of the New Bonds (including the Additional Bonds (which will be issued on identical terms as, and as a single series with, the New Bonds)) to be issued by the Issuer will be £85,000,000.

 

Settlement is expected to occur on 22 August 2016. The New Bonds will be delivered to exchanging holders on the Settlement Date.

 

For Further Information

A complete description of the terms and conditions of the Exchange Offer is set out in the Exchange Offer Memorandum. Further details about the transaction can be obtained from:

The Dealer Manager

HSBC BANK PLC8 Canada SquareLondon E14 5HQUnited Kingdom

For information by telephone: +44 20 7992 6237

Attention: Liability Management Group

Email: liability.management@hsbcib.com

The Exchange Agent

LUCID ISSUER SERVICES LIMITED

Tankerton Works12 Argyle WalkLondon WC1H 8HAUnited Kingdom

For information by telephone: +44 20 7704 0880

Attention: Yves Theis / Thomas Choquet

Email: affinity@lucid-is.com

None of the Dealer Manager or the Exchange Agent accepts any responsibility for the contents of this announcement. This announcement must be read in conjunction with the Exchange Offer Memorandum. No offer to acquire any Existing Bonds is being made pursuant to this announcement.

The distribution of this announcement and the Exchange Offer Memorandum in certain jurisdictions may be restricted by law. Persons into whose possession this announcement and/or the Exchange Offer Memorandum comes are required by each of the Issuer, the Dealer Manager and the Exchange Agent to inform themselves about and to observe any such restrictions.

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
RTEGGUMPRUPQGPR
Date   Source Headline
1st Oct 201411:00 amRNSDirectorate Change
30th Jul 20142:00 pmRNSDirectorate Change
30th Jul 20142:00 pmRNSDirectorate Change
16th Jul 20146:00 pmRNSNote issue
10th Jul 20145:00 pmRNSPublication of Listing Particulars
4th Jul 20144:00 pmRNSRe-registration
27th Jun 201410:15 amRNSAnnual Financial Report
27th Jun 201410:15 amRNSAnnual Financial Report
19th Jun 20146:00 pmRNSChange to Paying Agents
5th Jun 201410:00 amRNSTransfer of Securities to the PSM
17th Mar 201410:00 amRNSOfwat's Risk and Reward Guidance
17th Mar 201410:00 amRNSOfwat's Risk and Reward Guidance
28th Jan 20145:00 pmRNSDirectorate Change
28th Jan 20145:00 pmRNSDirectorate Change
2nd Dec 20138:50 amRNSStatement re Affinity Water Business Plan
26th Nov 201310:21 amRNSHalf Yearly Report
15th Jul 20136:00 pmRNSAnnual Financial Report
24th Apr 20139:24 amRNSDirectorate Change
24th Apr 20139:22 amRNSDirectorate Change
4th Feb 20133:06 pmRNSReplacement of Trustee
18th Jan 20134:01 pmRNSPublication of Prospectus
18th Jan 201312:40 pmRNSReplacement: Response to Oftwat's Proposals
17th Jan 201311:36 amRNSDirectorate Change
17th Jan 20139:33 amRNSResponse to Ofwat's Proposals to Modify Licences
16th Jan 201312:12 pmRNSRe-registration as a private limited company
20th Dec 20127:00 amRNSNotice of Noteholder Meeting
23rd Nov 20124:06 pmRNSHalf Yearly Report
23rd Nov 20123:49 pmRNSOfwat's proposals to modify water company licences
5th Nov 20127:56 amRNSGuarantor Annual Financial Reports

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