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Pin to quick picksFair Oaks Inc21 Regulatory News (FAIR)

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Fair Oaks Income 2017 is an Investment Trust

To generate attractive, risk-adjusted returns, principally through income distributions, mainly invests in US and European CLOs or other vehicles.

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Return of Capital to 2014 Shareholders

28 Nov 2018 07:00

RNS Number : 6752I
Fair Oaks Income Limited
28 November 2018
 

Fair Oaks Income Limited

28 November 2018

 

FAIR OAKS INCOME LIMITED (the "Company")

 

(Incorporated in Guernsey under The Companies (Guernsey) Law, 2008, as amended, with registered number 58123 and registered as a Registered Closed-ended Collective Investment Scheme with the Guernsey Financial Services Commission)

 

RETURN OF CAPITAL TO 2014 SHAREHOLDERS

 

The Company today announces that it will return $3,000,000 (equivalent to 11.873 cents per share) on 13 December 2018 (the "Redemption Date") by way of a compulsory partial redemption of 2014 Shares (the "Sixth Redemption").

The Sixth Redemption will be effected at 90.23 cents, being the NAV per 2014 Share as at 31 October 2018 (less the monthly interim dividend of 0.7 US cents declared on 30 October 2018). The Redemption will be effected pro rata to holdings of 2014 Shares on the register at the close of business on the Redemption Record Date, being 13 December 2018. As at today's date, the Company has 25,266,955 2014 Shares in issue of which none are held in treasury. On this basis approximately 13.1588 per cent. of each registered shareholding would be redeemed on the Redemption Date.

Fractions of shares will not be redeemed and so the number of shares to be redeemed for each shareholder will be rounded down to the nearest whole number of shares.

All shares that are redeemed will be cancelled with effect from the relevant Redemption Date. Accordingly, once redeemed, shares will be incapable of transfer.

 

The 2014 Shares will all be disabled in CREST after close of business on the Redemption Date and the existing ISIN number GG00BGN97714 (the "Old ISIN") will expire.

 

The new ISIN number GG00BHJWCC13 (the "New ISIN") in respect of the remaining 2014 Shares which have not been redeemed will be enabled and available for transactions from and including 14 December 2018.

 

Up to and including the Redemption Date, 2014 Shares will be traded under the Old ISIN and as such, a purchaser of such 2014 Shares would have a market claim for a proportion of the redemption proceeds. CREST will automatically transform any open transactions as at the Redemption Date into the New ISIN.

 

The default payment will be US Dollars. However, redemption payments can also be paid in Sterling providing the relevant shareholder has registered to receive redemption payments in Sterling. This can be done by completing the election form being posted to all shareholders today, which is also available on the Company's website at http://www.fairoaksincomefund.com. Election forms must be returned to the Registrar by close of business on 13 December 2018. An announcement will be made prior to the redemption monies being paid to confirm the rate per share to be used to pay shareholders.

 

Please note that if you have previously advised the Registrar, Link Asset Services, that you wish to receive your dividends in Sterling, you will need to advise them separately if you also wish to receive redemption payments in Sterling. If, for previous redemption payments, you instructed the Registrar, Link Asset Services, that you wished to receive redemption payments in Sterling then you will not need to repeat this instruction. However, if you now wish to revoke the Sterling election you should write to the Registrar, Link Asset Services prior to the redemption record date on 13 December 2018 requesting that the election be removed and that you wish to receive payment in US Dollars.

CREST shareholders must elect via the election form.

 

The Board anticipates that the Company will receive future distributions from the Master Fund such that further share redemptions may be declared on a quarterly basis. However, shareholders should note that the Board retains absolute discretion as to the execution, pricing and timing of any returns of capital.

 

 

 

 

 

 

Expected timetable for redemption:

 

Posting of redemption notice 28 November 2018

 

Record Date, Redemption date and expiry of old ISIN number 13 December 2018

 

New ISIN number enabled 14 December 2018

 

Redemption monies paid to uncertificated holdings and 28 December 2018

certificated holdings

 

 

LEI: 2138008KETEC1WM5YP90

 

 

Enquiries:

 

Fair Oaks Income Limited

Email: contact@fairoaksincome.com

Web: www.fairoaksincomefund.com

 

Link Asset Services

Company Registrar

DDI: +44 (0) 371 664 0321

Web: www.Signalshares.com 

 

Fair Oaks Capital Limited

Investor Relations

DDI: +44 (0) 20 3034 0400

Email: ir@fairoakscap.com

 

Praxis Fund Services Limited

Ben Le Prevost

DDI: +44 (0) 1481 755524

Email: Ben.LePrevost@praxisifm.com

  

Numis Securities Limited

Nathan Brown, Corporate Broking and Advisory

DDI: +44 (0) 20 7260 1426

Email: n.brown@numis.com 

 

 

Fair Oaks Income Limited

 

Fair Oaks Income Limited is a registered closed-ended investment company incorporated in Guernsey. The Company was admitted to trading on the Specialist Fund Market of the London Stock Exchange (now the Specialist Fund Segment of the Main Market of the London Stock Exchange) on 12 June 2014.

 

The investment policy of the Company is to invest (either directly and/or indirectly through FOIF LP (the "Master Fund") and/or FOMC II LP ("Master Fund II") in US and European CLOs or other vehicles and structures which provide exposure to portfolios consisting primarily of US and European floating-rate senior secured loans and which may include non-recourse financing. The Company will implement its investment policy by remaining invested in the Master Fund and making new investments in Master Fund II.

 

 

 

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.
 
END
 
 
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