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19.45    -0.65 (-3.23%)
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Spread: 0.90 (4.737%)
Market Cap: €111.86b
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Capital increase: Terms

20 Nov 2014 09:31

RNS Number : 5532X
Banco Bilbao Vizcaya Argentaria SA
20 November 2014
 

 

 

 

TO THE SPANISH NATIONAL SECURITIESMARKET COMMISSION

Banco Bilbao Vizcaya Argentaria, S.A. ("BBVA"), in accordance with the provisions of Securities Market legislation, notifies the following:

 

RELEVANT FACT

Following the relevant fact published yesterday, numbered 214315, with respect to a capital increase through an accelerated bookbuild offering, excluding the preemption right (the "Capital Increase"), the bookbuilding process carried on by BofA Merrill Lynch and Morgan Stanley & Co. International plc.(jointly, the "Joint Global Coordinators and Joint Bookrunners"), and BBVA itself (as "Co-Bookrunner") has finished, and the following terms of the Capital Increase have being determined:

 

(a) The Capital Increase will be of a total par value of 118,787,879.56  euros, through the issue of 242,424,244 shares of BBVA, each with a par value of forty-nine euro cents (€0.49), of the same class and series as the shares currently in circulation and represented by book entries (hereinafter the "New Shares").

(b) The subscription price of the New Shares has been determined to be 8.25 per share.

(c) Therefore, the total effective amount of the Capital Increase (comprising par value and share premium) is of 2,000,000,013.00, corresponding 118,787,879.56 euros to par value and 1,881,212,133.44 euros to share premium.

(d) New Shares represent 4.09% of the company's share capital before the Capital Increase and 3.93% after such transaction.

 

 

 

It is envisaged that the authorization for the admission to listing of the New Shares in the Spanish Stock Exchanges will be granted on 21st November, 2014, so that ordinary trading of such shares in Spain will commence on 24th November, 2014. Admission to listing of the New Shares in the other Stock Exchanges where BBVA is listed will also be requested.

 

Madrid, November 20, 2014.

 

 

THE INFORMATION CONTAINED IN THIS DOCUMENT DOES NOT CONSTITUTE A PROSPECTUS OR A REGISTRATION DOCUMENT FOR THE PURPOSES OF THE PROVISIONS OF THE EUROPEAN PROSPECTUS DIRECTIVE 2003/71/EC AND/OR CHAPTER I OF TITLE III OF THE SPANISH SECURITIES MARKET LAW (LAW 24/1988, OF JULY 28) OR FOR ANY OTHER PURPOSES.

THE NEW SHARES ARE AIMED IN THE EUROPEAN UNION ONLY AT INVESTORS THAT MAY BE CONSIDERED "QUALIFIED INVESTORS" WITHIN THE MEANING OF ARTICLE 39 OF ROYAL DECREE 1310/2005 OF NOVEMBER 4 OR THE LEGISLATION ENACTED BY OTHER MEMBER STATES OF THE EUROPEAN UNION IN KEEPING WITH THE PROVISIONS OF ARTICLE 2(1)(E) OF THE EUROPEAN PROSPECTUS DIRECTIVE (DIRECTIVE 2003/71/EC) ("QUALIFIED INVESTORS"). EACH PERSON THAT INITIALLY ACQUIRES ANY NEW SHARES WILL BE PRESUMED TO HAVE DECLARED, RECOGNIZED AND AGREED THAT HE IS A "QUALIFIED INVESTOR" WITHIN THE MEANING OF THE ABOVE-MENTIONED LEGISLATION.

THIS DOCUMENT MUST NOT BE PUBLISHED OR DISTRIBUTED, DIRECTLY OR INDIRECTLY, IN (OR ADDRESSED TO) THE UNITED STATES OF AMERICA, CANADA, AUSTRALIA, JAPAN OR ANY OTHER JURISDICTION IN WHICH IT IS PROHIBITED IN ACCORDANCE WITH THE LAWS APPLICABLE.

THIS DOCUMENT DOES NOT CONSTITUTE AN OFFER FOR THE SALE OF SECURITIES, NOR A REQUEST FOR AN OFFER, TO PURCHASE SECURITIES IN THE UNITED STATES OF AMERICA OR IN ANY OTHER JURISDICTION. THE NEW SHARES HAVE NOT BEEN (NOR WILL BE) REGISTERED IN ACCORDANCE WITH THE SECURITIES ACT OF THE UNITED STATES OF AMERICA OF 1933, AS AMENDED (THE "U.S. SECURITIES ACT") AND MAY NOT BE OFFERED OR SOLD IN THE UNITED STATES OF AMERICA WITHOUT THE RELEVANT REGISTRATION OR THE APPLICATION OF AN EXEMPTION FROM REGISTRATION IN ACCORDANCE WITH THE U.S. SECURITIES ACT. THERE IS NO INTENTION TO REGISTER A PORTION OF THE OFFER IN THE UNITED STATES OF AMERICA OR TO MAKE A PUBLIC OFFER OF SECURITIES IN THE UNITED STATES OF AMERICA OR IN ANY OTHER JURISDICTION. BY MEANS OF THIS INFORMATION NO REQUEST IS MADE FOR MONEY, SECURITIES OR ANY OTHER KIND OF CONSIDERATION, AND, IF ANY MONEY, SECURITY OR ANY OTHER KIND OF CONSIDERATION IS SENT IN RESPONSE TO THIS INFORMATION, IT WILL NOT BE ACCEPTED.

IN CONNECTION WITH ANY OFFERING OF THE SECURITIES, THE JOINT GLOBAL COORDINATORS AND JOINT BOOKRUNNERS AND ANY OF THEIR RESPECTIVE AFFILIATES ACTING AS AN INVESTOR FOR THEIR OWN ACCOUNT MAY TAKE UP AS A PROPRIETARY POSITION ANY SECURITIES AND IN THAT CAPACITY MAY RETAIN, PURCHASE OR SELL FOR THEIR OWN ACCOUNTS SUCH SECURITIES. IN ADDITION THEY MAY ENTER INTO FINANCING ARRANGEMENTS AND SWAPS WITH INVESTORS IN CONNECTION WITH WHICH THEY MAY FROM TIME TO TIME ACQUIRE, HOLD OR DISPOSE OF THE SECURITIES REFERRED TO HEREIN. THEY DO NOT INTEND TO DISCLOSE THE EXTENT OF ANY SUCH INVESTMENT OR TRANSACTIONS OTHERWISE THAN IN ACCORDANCE WITH ANY LEGAL OR REGULATORY OBLIGATION TO DO SO.

THE JOINT GLOBAL COORDINATORS AND JOINT BOOKRUNNERS ARE ACTING ON BEHALF OF THE COMPANY AND NO ONE ELSE IN CONNECTION WITH THE SECURITIES AND WILL NOT BE RESPONSIBLE TO ANY OTHER PERSON FOR PROVIDING THE PROTECTIONS AFFORDED TO CLIENTS OF THE JOINT GLOBAL COORDINATORS AND JOINT BOOKRUNNERS, OR FOR PROVIDING ADVICE IN RELATION TO THE SECURITIES REFERRED TO HEREIN.

NONE OF THE JOINT GLOBAL COORDINATORS AND JOINT BOOKRUNNERS NOR THEIR AFFILIATES NOR ANY OF THEIR RESPECTIVE DIRECTORS, OFFICERS, EMPLOYEES, ADVISERS OR AGENTS ACCEPTS ANY RESPONSIBILITY OR LIABILITY WHATSOEVER FOR OR MAKES ANY REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, AS TO THE TRUTH, ACCURACY OR COMPLETENESS OF THE INFORMATION IN THIS ANNOUNCEMENT (OR WHETHER ANY INFORMATION HAS BEEN OMITTED FROM THE ANNOUNCEMENT) OR ANY OTHER INFORMATION RELATING TO THE COMPANY OR ITS SUBSIDIARIES OR ASSOCIATED COMPANIES, WHETHER WRITTEN, ORAL OR IN A VISUAL OR ELECTRONIC FORM, AND HOWSOEVER TRANSMITTED OR MADE AVAILABLE OR FOR ANY LOSS HOWSOEVER ARISING FROM ANY USE OF THIS ANNOUNCEMENT OR ITS CONTENTS OR OTHERWISE ARISING IN CONNECTION THEREWITH

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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1st May 20267:00 amRNSChanges in BBVA’s Board of Directors
30th Apr 20268:39 amRNSShare Buyback Program
30th Apr 20267:19 amRNS1Q26 Earnings Presentation
30th Apr 20267:16 amRNS1Q26 Quarterly Report
30th Apr 20267:12 amRNSResults Press Release BBVA 1T2026
22nd Apr 20261:24 pmRNS1T26 Earnings Presentation Announcement
20th Apr 20267:00 amRNSCompletion of the execution of the Second Tranche
17th Apr 20267:14 amRNSEarly redemption of public sector covered bonds
15th Apr 20262:57 pmRNSBBVA Notice to amend final terms GMTN 29
14th Apr 20265:20 pmRNSMREL requirement
13th Apr 202610:19 amRNSPeriodic Report on the Buyback Program 13/04/2026
7th Apr 20267:00 amRNSPeriodic Report on the Buyback Program 06/04/2026
31st Mar 20265:50 pmRNSBBVAs share capital reduction
23rd Mar 20267:00 amRNSPilar 3 Report 2025
20th Mar 202611:50 amRNSShare Buyback Program
6th Mar 20266:19 pmRNSCompletion of the execution of the First Tranche
2nd Mar 202610:18 amRNSPeriodic Report on the Buyback Program 2026/03/02
23rd Feb 202610:29 amRNSPeriodic Report on the Buyback Program 23/02/2026
19th Feb 202610:46 amRNS2025_Individual_Annual_Accounts_and_Management_Rep
19th Feb 202610:37 amRNS2025_Cons_Annual_Accounts_and_Management_Report
16th Feb 202610:24 amRNSPeriodic Report on the Buyback Program 2026/02/16
13th Feb 20265:22 pmRNSApril dividend calendar
13th Feb 20263:33 pmRNS2026 AGM Notice and Proposed Resolutions
11th Feb 20265:44 pmRNSEarly redemption of Senior Preferred Notes
10th Feb 20267:00 amRNS2026 Annual General Meeting Call
9th Feb 202610:11 amRNSPeriodic Report on the Buyback Program 2026/02/09
5th Feb 20267:00 amRNSShareholder remuneration for 2025
5th Feb 20267:00 amRNS4Q25 Earnings Report
5th Feb 20267:00 amRNS4Q25 Earnings Press Release
5th Feb 20267:00 amRNS4Q25 Earnings Presentation
2nd Feb 202610:27 amRNSPeriodic Report on the Buyback Program 02/02/2026
28th Jan 20261:29 pmRNS4Q25 Earnings Presentation Announcement
27th Jan 20267:00 amRNSNew Periodic Report Buyback Program 26/01/2026
26th Jan 202610:30 amRNSPeriodic Report on the Buyback Program 26/01/2026
19th Jan 202610:06 amRNSPeriodic Report on the Buyback Program 19/01/2026
12th Jan 202610:18 amRNSPeriodic Report on the Buyback Program 12/01/2026
2nd Jan 202610:39 amRNSPeriodic Report on the Buyback Program 02/01/2026
23rd Dec 20255:28 pmRNSBBVA's share capital reduction
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19th Dec 20257:21 amRNSShare Buyback Program
19th Dec 20257:21 amRNSShare Buyback Program
17th Dec 20257:47 amRNSEarly redemption of the entire issuance
11th Dec 20257:00 amRNSCompletion of the execution of the Buyback Program
9th Dec 202510:30 amRNSPeriodic Report on the Buyback Program 2025/12/09

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