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Pin to quick picksAshtead Group Regulatory News (AHT)

Share Price Information for Ashtead Group (AHT)

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Notice of Redemption

11 Aug 2017 17:11

RNS Number : 8369N
Ashtead Group PLC
11 August 2017
 

ASHTEAD CAPITAL, INC.

6.50% Second Priority Senior Secured Notes due 2022

NOTICE OF REDEMPTION

Aggregate

Principal

Amount

Description of Notes

CUSIP Nos. (144A Notes /

Regulation S Notes)

ISIN Nos. (144A Notes /

Regulation S Notes)

$900,000,000

6.50% Second Priority Senior Secured Notes due 2022

045054AB9 / U04344AB0

US045054AB98 / USU04344AB07

 

Reference is made to the Indenture, dated as of July 16, 2012, as amended by Supplemental Indenture No. 1 dated as of November 19, 2012, Supplemental Indenture No. 2 dated as of June 25, 2013, Supplemental Indenture No. 3 dated as of December 17, 2013, Supplemental Indenture No. 4 dated as of February 6, 2015 and Supplemental Indenture No. 5, dated as of July 28, 2017 (the "Indenture"), among Ashtead Capital, Inc. (the "Issuer"), Ashtead Group plc, as Parent Guarantor, the Subsidiary Guarantors named therein and The Bank of New York Mellon, as trustee, collateral agent and paying agent (the "Trustee" and "Paying Agent"), governing the Issuer's 6.50% Second Priority Senior Secured Notes due 2022 (the "Notes"). Any capitalized term used but not otherwise defined herein has the meaning assigned to such term in the Indenture.

 

1. The Issuer hereby notifies the Holders of the Notes of a redemption of the Notes, pursuant to paragraph (c) of Section 3.05 of the Indenture and paragraph (c) of Section 6 of the Notes as follows:

 

Redemption Date: September 10, 2017.

 

Principal Amount of Notes to be Redeemed: $331,966,000.

 

Redemption Price: 103.250% of the principal amount of the Notes plus accrued and unpaid interest to, but not including, the Redemption Date. Interest on the Notes accrues at a rate of 6.50% per annum, payable semi-annually in arrears on January 15 and July 15 of each year. The amount of accrued and unpaid interest to be paid to Holders pursuant to the redemption represents interest accrued from July 15, 2017, the last Interest Payment Date prior to the Redemption Date, to, but not including, the Redemption Date.

 

Paying Agent: The Notes called for redemption are to be surrendered for payment of the Redemption Price at The Bank of New York Mellon, One Canada Square, 40th Floor, London E14 5AL, England, acting as the Issuer's agent.

 

2. The Notes called for redemption must be surrendered to the Paying Agent to collect the Redemption Price.

 

3. No representation is made as to the correctness of any CUSIP or ISIN numbers either as printed on the Notes or as contained in this Notice of Redemption, and each Holder may rely only on the other identification numbers printed on the Notes.

4. On the Redemption Date, the Redemption Price will become due and payable on Notes called for redemption and, unless the Issuer and the Guarantors default in making such redemption payment, interest on Notes called for redemption shall cease to accrue on and after the Redemption Date.

 

EACH HOLDER IS URGED TO CONSULT ITS TAX ADVISOR AS TO THE PARTICULAR TAX CONSEQUENCES OF REDEMPTION TO SUCH HOLDER, INCLUDING THE APPLICABILITY AND EFFECT OF FEDERAL, STATE, LOCAL AND OTHER TAX LAWS.

 

Dated as of August 11, 2017

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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23rd Jan 20245:22 pmPRNTransaction in Own Shares
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