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Pin to quick picksNationwide Ccds Regulatory News (NBS)

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Indicative Results of Tender Offers

18 Sep 2020 10:04

RNS Number : 4394Z
Nationwide Building Society
18 September 2020
 

NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION IN OR INTO OR TO ANY PERSON LOCATED OR RESIDENT IN THE UNITED STATES OF AMERICA, ITS TERRITORIES AND POSSESSIONS, ANY STATE OF THE UNITED STATES OF AMERICA OR THE DISTRICT OF COLUMBIA (THE "UNITED STATES") OR INTO ANY OTHER JURISDICTION OR TO ANY OTHER PERSON WHERE OR TO WHOM IT IS UNLAWFUL TO RELEASE, PUBLISH OR DISTRIBUTE THIS DOCUMENT.

NATIONWIDE BUILDING SOCIETY ANNOUNCES INDICATIVE RESULTS OF ITS CASH TENDER OFFERS FOR CERTAIN OF ITS OUTSTANDING COVERED BONDS

18 September 2020.  Nationwide Building Society1 (the "Offeror") announces the non-binding indicative acceptance and results of its invitations announced on 10 September 2020 to holders of the following bonds issued by it under its Global Covered Bond Programme and irrevocably and unconditionally guaranteed as to payment of principal and interest by Nationwide Covered Bonds LLP (together, the "Covered Bonds" or the "Bonds" and each a "Series") to tender such outstanding Bonds for purchase by the Offeror for cash up to a maximum aggregate nominal amount to be determined by the Offeror in its sole and absolute discretion (the "Maximum Acceptance Amount") at the relevant Purchase Price and an Accrued Interest Payment (each such invitation an "Offer" and, together, the "Offers"):

EUR1,000,000,000 Series 2014-06 0.750% Fixed Rate Covered Bonds due 29 October 2021(XS1130066175) (the "EUR October 2021 Bonds")

EUR1,000,000,000 Series 2015-11 0.750% Fixed Rate Covered Bonds due 26 October 2022(XS1308693867) (the "EUR October 2022 Bonds")

EUR1,000,000,000 Series 2017-01 0.500% Fixed Rate Covered Bonds due 23 February 2024(XS1569896498) (the "EUR February 2024 Bonds")

EUR1,250,000,000 Series 2019-02 0.050% Fixed Rate Covered Bonds due 03 June 2024(XS2004366287) (the "EUR June 2024 Bonds")

EUR750,000,000 Series 2015-02 0.625% Fixed Rate Covered Bonds due 25 March 2027(XS1207683522) (the "EUR March 2027 Bonds")

EUR1,000,000,000 Series 2017-02 1.375% Fixed Rate Covered Bonds due 29 June 2032(XS1638816089) (the "EUR June 2032 Bonds")

(together, the "Euro Bonds")

and

GBP1,000,000,000 Series 2019-07 Floating Rate Covered Bonds due 02 August 2022(XS2035642102) (the "GBP August 2022 Bonds")

GBP1,000,000,000 Series 2018-01 Floating Rate Covered Bonds due 12 April 2023(XS1806359714) (the "GBP April 2023 Bonds")

GBP1,000,000,000 Series 2019-01 Floating Rate Covered Bonds due 10 January 2024(XS1933035286) (the "GBP January 2024 Bonds")

GBP1,000,000,000 Series 2020-01 Floating Rate Covered Bonds due 10 January 2025(XS2100384853) (the "GBP January 2025 Bonds")

GBP750,000,000 Series 2011-02 5.625% Fixed Rate Covered Bonds due 28 January 2026(XS0584363724) (the "GBP January 2026 Bonds")

(together, the "Sterling Bonds")

The Offers were made on the terms and subject to the conditions contained in a tender offer memorandum dated 10 September 2020 (the "Tender Offer Memorandum") prepared by the Offeror, subject to the offer and distribution restrictions set out therein.

The Expiration Deadline for the Offers was 4.00 p.m. (London time) on 17 September 2020. This is the Announcement of Indicative Acceptance and Results of Offers referred to in the Tender Offer Memorandum.

Capitalised terms used in this announcement but not defined have the meanings given to them in the Tender Offer Memorandum.

Indicative Acceptance and Results of Offers

Based on information provided by the Tender Agent with respect to valid Tender Instructions received (and not validly withdrawn) as at the Expiration Deadline, the following table sets out a non-binding indication of the basis on which the Offeror currently expects to accept valid tenders of Bonds in the Offers (subject to the application of the relevant Pro-ration Factor in relation to a Series as set out below):

 

Description of the Bonds

ISIN

Nominal Amount Outstanding

Maturity Date(1)

Indicative Series

Acceptance Amounts

Indicative Pro-ration Factor

Reference Yield /

Reference Benchmark

Fixed Spread

Purchase Yield

Purchase Price(3)

Indicative Maximum Acceptance Amount

Denomination Currency

Sterling Equivalent(2)

Euro Bonds

 

GBP2,041,171,056.89 in aggregate nominal amount

EUR October 2021 Bonds

XS1130066175

EUR1,000,000,000

29 October 2021

EUR128,453,000

GBP117,116,156.09

Not applicable

The relevant Interpolated Mid-Swap Rate

-1 bps

Sum of the Reference Yield and Fixed Spread

To be determined as set out in the Tender Offer Memorandum

EUR October 2022 Bonds

XS1308693867

EUR1,000,000,000

26 October 2022

EUR0

GBP0

Not applicable

The relevant Interpolated Mid-Swap Rate

+3 bps

Sum of the Reference Yield and Fixed Spread

Not applicable

EUR February 2024 Bonds

XS1569896498

EUR1,000,000,000

23 February 2024

EUR341,378,000

GBP311,249,088.26

Not applicable

The relevant Interpolated Mid-Swap Rate

-6 bps

Sum of the Reference Yield and Fixed Spread

To be determined as set out in the Tender Offer Memorandum

EUR June 2024 Bonds

XS2004366287

EUR1,250,000,000

03 June 2024

EUR709,138,000

GBP646,551,787.02

Not applicable

The relevant Interpolated Mid-Swap Rate

-3 bps

Sum of the Reference Yield and Fixed Spread

To be determined as set out in the Tender Offer Memorandum

EUR March 2027 Bonds

XS1207683522

EUR750,000,000

25 March 2027

EUR250,000,000

GBP227,935,813.27

85.6635%

The relevant Interpolated Mid-Swap Rate

-3 bps

Sum of the Reference Yield and Fixed Spread

To be determined as set out in the Tender Offer Memorandum

EUR June 2032 Bonds

XS1638816089

EUR1,000,000,000

29 June 2032

EUR154,626,000

GBP140,979,212.25

Not applicable

The relevant Interpolated Mid-Swap Rate

+9 bps

Sum of the Reference Yield and Fixed Spread

To be determined as set out in the Tender Offer Memorandum

Sterling Bonds

GBP August 2022 Bonds

XS2035642102

GBP1,000,000,000

02 August 2022

GBP0

GBP0

Not applicable

Not applicable

Not applicable

Not applicable

Not applicable

GBP April 2023 Bonds

XS1806359714

GBP1,000,000,000

12 April 2023

GBP207,057,000

GBP207,057,000

Not applicable

Not applicable

Not applicable

Not applicable

100.846%

GBP January 2024 Bonds

XS1933035286

GBP1,000,000,000

10 January 2024

GBP0

GBP0

Not applicable

Not applicable

Not applicable

Not applicable

Not applicable

GBP January 2025 Bonds

XS2100384853

GBP1,000,000,000

10 January 2025

GBP390,282,000

GBP390,282,000

Not applicable

Not applicable

Not applicable

Not applicable

101.596%

GBP January 2026 Bonds

XS0584363724

GBP750,000,000

28 January 2026

GBP0

GBP0

Not applicable

1.50 per cent. UK Treasury Gilt due July 2026 (ISIN: GB00BYZW3G56)

54 bps

Annualised sum of the Reference Yield and Fixed Spread

Not applicable

Notes

(1) Subject to adjustment in accordance with any applicable business day convention.

 (2) In the case of the Euro Bonds, calculated at the Euro FX Rate of EUR1.0968 = GBP1.

(3) An Accrued Interest Payment will also be made in respect of any Bonds accepted for purchase.

----

The indicative Maximum Acceptance Amount for the Offers, the indicative Series Acceptance Amount for each Series of Bonds and the indicative Pro-ration Factor for each Series of Bonds specified above are non-binding indications only and subject to change.

For the purposes of calculating the indicative Maximum Acceptance Amount, the Euro FX Rate will be EUR1.0968 = GBP1.

The Offeror currently expects to announce the final results of the Offers (including, amongst other things, whether it accepts any valid tenders of Bonds for purchase in the Offers and, if so, the final Maximum Acceptance Amount and, for each Series, the final Series Acceptance Amount and, if applicable, any Pro-ration Factor) as soon as practicable after the Price Determination Time, which is currently expected to be at or around 1.00 p.m. (London time) today.

NatWest Markets Plc and UBS AG London Branch are acting as Joint Dealer Managers for the Offers and Lucid Issuer Services Limited is acting as Tender Agent.

JOINT DEALER MANAGERS

NatWest Markets Plc250 BishopsgateLoudon EC2M 4AAUnited KingdomTelephone: +44 20 7678 5222Email: liabilitymanagement@natwestmarkets.comAttention: Liability Management

UBS AG London Branch5 BroadgateLondon EC2M 2QSUnited KingdomTelephone: +44 20 7568 1121Email: ol-liablitymanagement-eu@ubs.comAttention: Liability Management Group

 

TENDER AGENT

Lucid Issuer Services LimitedTankerton Works12 Argyle WalkLondon WC1H 8HAUnited KingdomTelephone: +44 20 7704 0880Email: nationwide@lucid-is.comAttention: David Shilson

___

1 LEI: 549300XFX12G42QIKN82

This announcement is released by Nationwide Building Society and contains inside information in relation to the Covered Bonds and is disclosed in accordance with the Market Abuse Regulation (EU) 596/2014 ("MAR"). For the purposes of MAR, this announcement is made by Krishan Hirani, Senior Manager, Funding & Capital Markets of Nationwide Building Society.

DISCLAIMER: This announcement must be read in conjunction with the Tender Offer Memorandum. No offer or invitation to acquire or sell any securities is being made pursuant to this announcement. Neither this announcement nor the Tender Offer Memorandum constitutes an offer or an invitation to participate in the Offers in the United States or in any other jurisdiction in which, or to any person to or from whom, it is unlawful to make such offer or invitation or for there to be such participation under applicable laws. The distribution of this announcement and the Tender Offer Memorandum in certain jurisdictions may be restricted by law. Persons into whose possession this announcement or the Tender Offer Memorandum comes are required by each of the Offeror, the Joint Dealer Managers and the Tender Agent to inform themselves about and to observe any such restrictions.

The Expiration Deadline for the Offers has now passed and, accordingly, it is no longer possible to tender Bonds pursuant to the Offers. The Offers were not made directly or indirectly in or into, or by use of the mail of, or by any means or instrumentality of interstate or foreign commerce of or of any facilities of a national securities exchange of, the United States.

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.RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.
 
END
 
 
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