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Further re convertible bond issue

21 Dec 2009 07:00

AQUARIUS PLATINUM LIMITEDASX, LSE & JSEAquarius Platinum Limited(Incorporated in Bermuda)

Registration Number: EC 26290

Share Code JSE: AQPShare Code JSE: AQPBISIN Code: ZAE000134540

("Aquarius" or the "Company")

21 December 2009 NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION, DIRECTLY OR INDIRECTLY, IN OR INTO THE UNITED STATES, CANADA OR JAPAN APPLICABLE INTEREST RATE AND INITIAL OPTIONAL REDEMPTION NOTICE ON ZAR650 MILLION FLOATING RATE SENIOR SECURED CONVERTIBLE BONDS

Further to the listing by Aquarius of 65,000 floating rate senior secured convertible bonds ("Bonds") on the Main Board of the JSE Limited on 11 May 2009 and pursuant to the requirement for the notification of the Interest Rate applicable on the Bonds as contained in Condition 8.4, Aquarius announces that the applicable Interest Rate for the Interest Period commencing 30 October 2009 and ending 31 January 2010 will be 10.242%, being the sum of 3 month JIBAR as at 11h00 on Friday 30 October 2009 and the Margin, which is set at 3%.

Further to the announcement by Aquarius on 24 November 2009 indicating its intention to redeem all Outstanding Bonds, pursuant to Condition 10.2 Aquarius hereby notifies Bondholders ("Initial Optional Redemption Notice") that all Bonds Outstanding on Friday, 15 January 2010 will be redeemed at 115% of their Principal Amount together with accrued interest up to but excluding the Initial Optional Redemption Date, which shall be 18 January 2010 (the "Initial Optional Redemption"). A Principal Amount of R10,000 per Bond will be paid on 18 January 2010 together with the additional Initial Optional Redemption amount of R1,500 per Bond and accrued interest of R224.48 per Bond. The total payment, inclusive of accrued interest, that will be received by Bondholders on 18 January 2010 will be R11,724.48 per Bond (the "Redemption Payment"). The accrued interest is calculated by multiplying the applicable Interest Rate for the Interest Period stated above by the Principal Amount of R10,000 per Bond and multiplying such product by the actual number of days that will elapse during the period commencing 30 October 2009 (inclusive) and ending 18 January 2010 (exclusive), and then dividing that product by 365.

The timetable for the Initial Optional Redemption is as follows:

2010

Last day to trade the Bonds on the JSE in order to Friday, 8 January be recorded in the register on the record date

Suspension of trading of the Bonds on the JSE Monday, 11 January Record date to receive the Redemption Payment Friday, 15 January Bondholders will have the Redemption Payment Monday, 18 Januarycredited to their account and their account updated, which account is held at their Central Securities Depository Participant ("CSDP") or broker

Listing of Bonds terminated (at commencement of Tuesday, 19 January trading)

Defined terms used but not defined in this notice shall have the meanings given to them in the terms and condition of the Bond (the "Conditions").

Contacts

Aquarius Platinum Limited:

Willi Boehm +61 (0)8 9367 5211

Sponsor

RAND MERCHANT BANK (A division of FirstRand Bank Limited)

REGISTERED OFFICE

Aquarius Platinum Limited - Clarendon House - 2 Church Street - Hamilton HMCX Bermuda

Email: info@aquariusplatinum.com

Telephone: +61 8 9367 5211

vendor
Date   Source Headline
27th Nov 20092:47 pmPRNFurther re Convertible Bond Issue
24th Nov 20092:05 pmPRNFurther re US$250 million Convertible Bond
24th Nov 20097:26 amPRNStatement re US$250 million Convertible Bond
23rd Nov 20097:04 amPRNStatement re Reappointment of Auditors at AGM
19th Nov 20097:00 amPRNStatement re Everest Platinum Mine Update
5th Nov 200910:00 amPRNAdditional Listing
4th Nov 20094:12 pmPRNAnnual Financial Report
30th Oct 20099:50 amPRNNotice of AGM
30th Oct 20097:00 amPRNAnnual Report 2009
27th Oct 20097:00 amPRN1st Quarter 2010 Financial & Production Results
23rd Oct 200910:08 amPRNIssue of New Securities
15th Oct 20099:19 amPRNAnnual Information Update
5th Oct 200911:20 amPRNAPPLICABLE INTEREST RATE ON ZAR650M CONVERTIBLE BONDS
5th Oct 20099:12 amPRNIssue of New Securities
30th Sep 200911:27 amPRNFinancial Statements for the year ended 30 June 2009
29th Sep 20099:19 amPRNIssue of New Securities
21st Sep 20099:01 amPRNIssue of New Securities
11th Sep 20099:24 amPRNIssue of New Securities
8th Sep 20095:00 pmPRNExercise of Options
7th Sep 20097:00 amPRNEngagement of new workforce at Kroondal & Marikana
4th Sep 20099:05 amPRNDirector/PDMR Shareholding
4th Sep 20099:03 amPRNDirector/PDMR Shareholding
28th Aug 200910:17 amPRNIssue of New Securities
27th Aug 20093:40 pmPRNIssue of New Securities
27th Aug 200912:57 pmPRNFurther re Unprotected industrial action
26th Aug 20097:02 amPRNUnprotected industrial action by contractor employees
24th Aug 20099:39 amPRNResult of Meeting
18th Aug 200910:06 amPRNDirector/PDMR Shareholding
14th Aug 20099:24 amRNSPress Release
12th Aug 20097:16 amPRNFull Year Results 30 June 2009
3rd Aug 200910:06 amPRNIssue of New Securities
31st Jul 20093:11 pmPRN4th Quarter 2009 Production Results
31st Jul 200911:43 amRNSEPT Disclosure
30th Jul 20093:05 pmPRNCompletion of the Acquisition of Ridge Mining
30th Jul 20091:54 pmRNSRule 8.3- Aquarius Platinum Ltd
30th Jul 200912:03 pmRNSRule 8.3- Aquarius Platinum Ltd
30th Jul 200911:13 amRNSEPT Disclosure
30th Jul 200910:50 amRNSEPT Disclosure
30th Jul 20097:00 amRNSScheme Effective
30th Jul 20097:00 amPRNStatement re Publication of a Prospectus
29th Jul 20094:18 pmRNSFurther re Scheme of Arrangement
29th Jul 200911:49 amRNSEPT Disclosure
29th Jul 200911:37 amRNSRule 8.3- Aquarius Platinum Limited
29th Jul 200911:00 amRNSRule 8.3 - Aquarius Platinum Ltd
29th Jul 20099:02 amRNSEPT Disclosure
28th Jul 20092:27 pmRNSRule 8.3- Aquarius Platinum
28th Jul 20092:01 pmRNSRule 8.3- Aquarius Platinum Ltd
28th Jul 200911:51 amRNSEPT Disclosure
28th Jul 200911:21 amPRNNotice of General Meeting & Explanatory Memorandum
28th Jul 20098:56 amRNSEPT Disclosure

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