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Adjustment of Convertible Bond Conversion Price

19 Sep 2024 13:11

RNS Number : 9171E
Jet2 PLC
19 September 2024
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19 September 2024

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Jet2 plc

(the "Company")

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Adjustment of Convertible Bond Conversion Price

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Jet2 plc,Β the Leisure Travel group,Β announces to holders of itsΒ Β£387.4 millionΒ 1.625% guaranteed convertible bonds due 2026 (ISIN: XS2351465179) (the "Convertible Bonds") that, as a result of the final dividend ofΒ 10.7Β penceΒ perΒ ordinaryΒ shareΒ inΒ theΒ CompanyΒ payable to shareholders on the register at the close of business on 20 September 2024, the Conversion Price has been adjusted fromΒ Β£17.8747Β per Ordinary Share toΒ Β£17.6844Β per Ordinary Share, effective as of 19 September 2024, in accordance with Condition 6(b)(iii) of the terms and conditions of the Convertible Bond

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Capitalised terms not otherwise defined in this announcement shall have the meaning given to them in the terms and conditions of the Convertible Bonds which are available on the Company's website at https://www.jet2plc.com/en/investor_relations.

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Β For further information please contact:

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Jet2 plc

Steve Heapy, Chief Executive Officer

Gary Brown, Group Chief Financial Officer

Ian Day, Group Company Secretary

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0113 239 7692

Cavendish Capital Markets Limited

Nominated Adviser

Katy Birkin / Camilla Hume/George Lawson

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020 7220 0500

Burson Buchanan

Financial PR

Richard Oldworth/Toto Berger

020 7466 5000

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