Less Ads, More Data, More Tools Register for FREE

Pin to quick picksPOG.L Regulatory News (POG)

  • There is currently no data for POG

Redemption Notice

13 Nov 2009 07:00

RNS Number : 4484C
Petropavlovsk PLC
13 November 2009
 

RNS Announcement

Petropavlovsk PLC

Redemption Notice of US$140,000,000 7.125 per cent Guaranteed Convertible Bonds Due 2010 (ISIN: XS0224133099) (Bonds) issued by Peter Hambro Mining Group Finance Limited (Issuer) and guaranteed by and convertible into ordinary shares (Ordinary Shares) of Petropavlovsk PLC (Guarantor)

13 November 2009

Given that the Aggregate Value1 per Bond has traded above $150,000 for more than 20 of the last 30 dealing days, the Company has decided to exercise its option to redeem the Bonds. Set out below are details of the redemption notice, which is also being posted to Bondholders in full. The Company has opted to give an optional redemption notice period to Bondholders of 31 days (being not less than 30 days nor more than 90 days) as required under the terms of the Bonds. In the event that Bondholders wish to convert their Bonds into the Ordinary Shares as opposed to having their Bonds redeemed, they have up to and including 8 December 2009 to convert those Bonds.

Optional Redemption Notice:

Capitalised terms used herein shall have the same meanings as those ascribed to them in the terms and conditions of the Bonds. 

Notice is hereby given that the Issuer will redeem all outstanding Bonds in full prior to the Final Maturity Date pursuant to Condition 7(b) (Redemption at the Option of the Issuer) at their principal amount together with accrued interest up to but excluding the Optional Redemption Date (as defined below), details of which are set out below: 

Optional Redemption Date:

14 December 2009

Conversion Price as at 11 November 2009, being the latest practicable date prior to the publication of this Notice:

£7.24 per Share

Aggregate principal amount outstanding of the Bonds as at 11 November 2009, being the latest practicable date prior to the publication of this Notice:

US$139,900,000

Closing price of the Ordinary Shares as at 11 November 2009, being the latest practicable date prior to the publication of this Notice:

£13.05

Conversion Period:

Up to close of business (at the place where the relevant Bond is delivered for conversion) on 8 December 2009 

1 Aggregate Value means, in respect of any dealing day, the value expressed in US Dollars calculated in accordance with the following formula:
AV = (BV/CP) x MP
Where:
AV = Aggregate Value;
BV = the sterling value of a Bond's principal amount, calculated by dividing US$100,000 by the Prevailing Rate of Exchange as at the close of business on such dealing day;
CP = the Conversion Price on such dealing day; and
MP = the Volume Weighted Average Price for an Ordinary Share on such dealing day translated into US dollars at the Prevailing Rate of Exchange as at the close of business on such dealing day.

 

Condition 7(b) (Redemption at the Option of the Issuer) provides that the outstanding Bonds may, at the option of the Issuer, be redeemed at their principal amount plus accrued interest up to but excluding the Optional Redemption Date provided that at any time on or after 25 August 2008, on more than 20 dealing days during any period of 30 consecutive dealing days ending not earlier than 14 days prior to the giving of the Optional Redemption Notice, the Aggregate Value for each such dealing day exceeds US$150,000. This proviso was satisfied as at the close of business on 12 November 2009

Bondholders wishing to avoid having their Bonds redeemed have up to and including 8 December 2009 to convert those Bonds. If all of the Bondholders elect to convert their Bonds, a total of approximately 10,847,810 Ordinary Shares will be issued upon conversion of those Bonds, representing approximately 6.33 per cent of the Guarantor's existing ordinary share capital as at 11 November 2009 and also approximately 5.97 per cent of its ordinary share capital as at such date as enlarged by the issue of such Ordinary Shares. 

The Issuer intends to complete any formalities in relating to the delisting of the Bonds from the Luxembourg Stock Exchange as soon as possible following the redemption of the outstanding Bonds on 14 December 2009

Enquiries to:

Petropavlovsk PLC

Peter Hambro

Brian Egan

+44 (0) 207 201 8900

Merlin

David Simonson

Tom Randell 

+44 (0) 20 7726 8400

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
MSCILFLALLLFLIA
Date   Source Headline
19th Nov 20139:51 amRNSNotification of Major Interest in Shares
18th Nov 20132:06 pmRNSSuspension of Trading in the Shares of IRC Limited
15th Nov 20137:00 amRNSSuspension of Trading in the Shares of IRC Limited
14th Nov 20132:09 pmRNSResult of EGM
30th Oct 20135:58 pmRNSPURCHASES OF 4% GUARANTEED CONVERTIBLE BONDS
28th Oct 20135:37 pmRNSPosting of Circular
24th Oct 20134:37 pmRNSResignation of Independent Non-Executive Director
22nd Oct 20137:03 amRNSInterim Management Statement and Production Update
10th Oct 201311:04 amRNSNotification of Major Interest in Shares
4th Oct 201312:41 pmRNSIRC Limited:Exercise of Further Subscription Right
17th Sep 20133:36 pmRNSDisposal
13th Sep 20134:38 pmRNSNotification of Major Interest in Shares
9th Sep 201310:34 amRNSNotification of Major Interest in Shares
30th Aug 201310:25 amRNSNotification of Major Interest in Shares
29th Aug 20137:00 amRNSHalf Yearly Report
28th Aug 20131:53 pmRNSHalf Yearly Results Analyst Call Details
7th Aug 20133:06 pmRNSHolding(s) in Company
2nd Aug 201311:41 amRNSTotal Voting Rights
31st Jul 20133:59 pmRNSNotification of Major Interest in Shares
31st Jul 20139:42 amRNSNotification of Major Interest in Shares
30th Jul 20136:21 pmRNSNotification Of Major Interest In Shares
23rd Jul 20135:23 pmRNSAdditional Listing - replacement
23rd Jul 20134:32 pmRNSDividend Declaration
23rd Jul 20137:00 amRNSTrading Statement
11th Jul 20139:01 amRNSStmnt re Share Price Movement - Replacement
11th Jul 20137:00 amRNSStmnt re Share Price Movement
10th Jul 201310:23 amRNSSale of Non-Core Assets
8th Jul 201310:07 amRNSBond conversion price following dividend
4th Jul 20132:23 pmRNSDividend Announcement
26th Jun 20139:37 amRNSHolding(s) in Company
19th Jun 20134:57 pmRNSHolding(s) in Company
13th Jun 201311:04 amRNSHolding(s) in Company
12th Jun 20132:13 pmRNSAGM Resolutions
11th Jun 20132:06 pmRNSResult of AGM and Statement
28th May 20139:28 amRNSHolding(s) in Company
21st May 20139:15 amRNSNotice of Hedging
16th May 20133:02 pmRNSDirector Declaration
13th May 20137:00 amRNSUpdate on Business Plan
30th Apr 20139:27 amRNSNotification of major interest in shares
29th Apr 201312:18 pmRNSNotice of AGM & Posting of Annual Report
23rd Apr 20137:00 amRNSInterim Management Statement
11th Apr 201310:27 amRNSIRC Q1 Trading Update
9th Apr 201312:36 pmRNSDirectors Dealings
3rd Apr 20134:30 pmRNSVesting of 2009 LTIP Awards
2nd Apr 20134:36 pmRNSDirector's Dealings
28th Mar 20137:02 amRNS2012 Annual Results
20th Mar 20133:31 pmRNSHolding(s) in Company
7th Mar 201312:35 pmRNSResults of General Meeting
4th Mar 20133:50 pmRNSHolding(s) in Company
28th Feb 20137:00 amRNSReserves and Resources Update

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.