The next focusIR Investor Webinar takes places on 14th May with guest speakers from Blue Whale Growth Fund, Taseko Mines, Kavango Resources and CQS Natural Resources fund. Please register here.

Less Ads, More Data, More Tools Register for FREE

Pin to quick picksTDE.L Regulatory News (TDE)

  • There is currently no data for TDE

Watchlists are a member only feature

Login to your account

Alerts are a premium feature

Login to your account

Result of Tender Offer of Bonds

21 Mar 2018 15:28

RNS Number : 4945I
Telefonica SA
21 March 2018
 

TELEFÓNICA, S.A. as provided in article 228 of the Spanish Stock Market Act (Ley del Mercado de Valores), hereby reports the following

 

 

SIGNIFICANT EVENT

 

Further to the relevant event announced on 13 March 2018, Telefónica Europe B.V. (the "Issuer") announces the final results of the invitations to holders to tender for purchase by the Issuer for cash (each such invitation an "Offer" and together the "Offers") of the following notes:

 

(i) EUR 1,125,000,000 Undated 5 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "EUR 2018 Notes"),

(ii) EUR 850,000,000 Undated 5 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "EUR 2019 Notes"),

(iii) EUR 750,000,000 Undated 6 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "EUR 2020 Notes"),

(iv) GBP 600,000,000 Undated 7 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "GBP Notes"),

(v) EUR 625,000,000 Undated 8 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "EUR 2021 Notes"), and

(vi) EUR 1,000,000,000 Undated 10 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "EUR 2024 Notes")

(each a "Series" and together the "Notes") irrevocably guaranteed by Telefónica, S.A. (the "Guarantor").

 

The Offers were made on the terms and subject to the conditions contained in the tender offer memorandum dated 13 March 2018 (the "Tender Offer Memorandum") and are subject to the offer restrictions more fully described in the Tender Offer Memorandum.

 

The Issuer will (subject to satisfaction or waiver of the New Financing Condition described in the above mentioned relevant event) accept validly tendered Notes pursuant to the Offers for purchase in cash in an aggregate principal amount equivalent to EUR 1,776,575,600, of which an amount equivalent to EUR 1,124,875,600 in principal amount relates to the Priority 2 Notes.

 

The Issuer will not be accepting for purchase any of the EUR 2024 Notes tendered for purchase pursuant to the Offers.

 

The final results of the Offers are as follow:

 

Description of Notes

First Reset Date

Aggregate Principal Amount Outstanding

Purchase Price

 

 

Repurchase Yield

 

 

Accrued Interest

Benchmark Rate

Pro-ration factor (if any)

Fixed Spread (basis points)

Priority

Maximum Series Amount

EUR 1,125,000,000 Undated 5 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "EUR 2018 Notes")

 

Current Coupon: 6.50%

 

18/9/2018

EUR 1,125,000,000

EUR 103,187.67 per EUR 100,000

N/A

3.312%

N/A

N/A

N/A

1

EUR 651,700,000

EUR 850,000,000 Undated 5 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "EUR 2019 Notes")

 

Current Coupon: 4.20%

 

4/12/2019

EUR 850,000,000

EUR 106,395 per EUR 100,000

0.419%

1.254%

EUR 2019 Notes Interpolated Mid-Swap Rate

(-0.181%)

31.57%

60bps

2

EUR 145,200,000

EUR 750,000,000 Undated 6 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "EUR 2020 Notes")

 

Current Coupon: 5.00%

 

31/3/2020

EUR 750,000,000

EUR 109,011 per EUR 100,000

0.509%

4.890%

EUR 2020 Notes Interpolated Mid-Swap Rate

(-0.141%)

40.00%

65bps

2

EUR 158,200,000

GBP 600,000,000 Undated 7 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "GBP Notes")**

 

Current Coupon: 6.75%

 

26/11/2020

GBP 600,000,000

GBP 111,721 per GBP 100,000

2.192%

2.164%

GBP Notes interpolated Mid-Swap Rate

(1.230%)

100%

95bps

2

GBP 428,500,000

EUR 625,000,000 Undated 8 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "EUR 2021 Notes")

 

Current Coupon: 7.625%

 

18/9/2021

EUR 625,000,000

EUR 122,022 per EUR 100,000

1.149%

3.886%

EUR 2021 Notes Interpolated Mid-Swap Rate

(0.149%)

100%

100bps

2

EUR 332,300,000

EUR 1,000,000,000 Undated 10 Year Non-Call Deeply Subordinated Guaranteed Fixed Rate Reset Securities (the "EUR 2024 Notes")

 

Current Coupon: 5.875%

 

31/3/2024

EUR 1,000,000,000

N/A

N/A

N/A

N/A

N/A

N/A

2

EUR 0

** Based on an exchange rate of GBP 1 = EUR 1.1416, as shown on Bloomberg Page BFIX as at the Expiration Deadline.

 

The Offers remain subject to the conditions and restrictions set out in the Tender Offer Memorandum.

 

Whether the Issuer will purchase any Notes validly tendered in the Offers is subject, without limitation, to the settlement of the New Financing Condition. Subject to the satisfaction (or waiver) of the New Financing Condition, the expected settlement date of the Offers is 23 March 2018.

 

All Notes repurchased pursuant to the Offers will be cancelled.

 

 

Madrid, March 21, 2018

 

 

 

 

None of the Offers, the Tender Offer Memorandum or this announcement constitute an offer of securities or the solicitation of an offer of securities to the public in Spain under the Spanish Securities Market Law approved by Legislative Royal Decree 4/2015, of 23 October (Real Decreto Legislativo 4/2015, de 23 de octubre, por el que se aprueba el texto refundido de la Ley del Mercado de Valores), Royal Decree 1310/2005, of 4 November 2005 and Royal Decree 1066/2007, of 27 July 2007. Accordingly, neither the Offers, nor the Tender Offer Memorandum has been and will not be submitted for approval nor approved by the Spanish Securities Market Regulator (Comisión Nacional del Mercado de Valores).

 

Not for distribution in or into or to any person located or resident in the United States, its territories and possessions (including Puerto Rico, the U.S. Virgin Islands, Guam, American Samoa, Wake Island and the Northern Mariana Islands, any state of the United States and the District of Columbia) (the "United States") or to any U.S. person or into any other jurisdiction where it is unlawful to distribute this announcement.

 

 

 

 

 

 

 

 

 

 

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
RTELLFFEVSILFIT
Date   Source Headline
26th Apr 20188:55 amRNSFinancial Highlights January-March 2018
25th Apr 20185:50 pmRNSAGM Official Calling and Proposals
25th Apr 20185:17 pmRNSTEF-Composition of the Board of Directors
25th Apr 20187:52 amRNSTEF-Composition of the Board of Directors
5th Apr 20187:37 amRNSTEF - UK Spectrum
26th Mar 20185:15 pmRNSDate of Publication Jan-March18 Results
23rd Mar 201810:35 amRNSTEF - Capital Structure and IFRS
22nd Mar 20185:09 pmRNSTEF - Settlement of the Issuance
21st Mar 20183:28 pmRNSResult of Tender Offer of Bonds
16th Mar 20187:00 amRNSTEF - Facility Agreement
14th Mar 20187:00 amRNSTEF - Issuance of Securities
13th Mar 20188:46 amRNSTender Offer for Notes
28th Feb 20187:05 amRNSIssue of Notes
23rd Feb 20187:00 amRNSFiling of Form 20F 2017
22nd Feb 20181:35 pmRNSAnnual Report Remuneration Directors 2017
22nd Feb 20189:14 amRNSDoc re. 2017 Annnual Financial Report
22nd Feb 20189:04 amRNSPresentation on Quarterly Results
22nd Feb 20188:59 amRNSAnnual Financial Report 2017
22nd Feb 20188:40 amRNSQuartely results January-December 2017
1st Feb 20187:55 amRNSNew organizational structure
1st Feb 20187:53 amRNSAppointment of a member of the Board of Directors
22nd Jan 20184:49 pmRNSTEF- Date of publication of 2017 Jan-Dec results
15th Jan 20186:22 pmRNSTEF - Issue of EMTN Notes
22nd Dec 20177:39 amRNSTEF-Voluntary resignation Massanell
7th Dec 20174:53 pmRNSTEF - Settlement of the Issuance
29th Nov 20176:24 pmRNSTEF - Issuance of Securities
14th Nov 20177:00 amRNSTEF - Telxius exercise option
26th Oct 20177:55 amRNSDoc re. Presentation on quarterly results JanSep17
26th Oct 20177:35 amRNS2017 Third Quarter Financial Results
26th Oct 20177:33 amRNSFinancial Highlights Jan-Sep 2017
24th Oct 20175:23 pmRNSTEF- Closing of the sale of stake of Telxius
26th Sep 20174:47 pmRNSTEF- Date of publication of 2017 Jan- Sept results
22nd Sep 20172:02 pmRNSAdmission of new shares
21st Sep 20177:00 amRNSTEF-Maturity of convertible bonds
5th Sep 20176:19 pmRNSTEF-Issue of Notes
30th Aug 20177:25 amRNSColtel capital increase
27th Jul 201712:17 pmRNSTEF- Arbitration award Coltel
27th Jul 20178:12 amRNSTEF- Arbitration award Coltel
27th Jul 20178:01 amRNSDoc re. Presentation Quarterly results Jan-June17
27th Jul 20177:40 amRNSTEF - Quarterly resuls January-June 2017
27th Jul 20177:23 amRNSTEF - First Half-Yearly Financial Report
26th Jul 20175:14 pmRNSTEF - Composition of the Board of Directors
25th Jul 20172:30 pmRNSAppointment of Chief Operating Officer
27th Jun 20174:47 pmRNSTEF- Date of publication of 2017 Jan-June results
9th Jun 20173:56 pmRNSDividend Declaration
9th Jun 20173:47 pmRNSResult of AGM 2017
11th May 20179:40 amRNSDoc re.Presentation quarterly results Jan-March17
11th May 20179:29 amRNSTEF - 2017 First quarter financial results
11th May 20179:22 amRNSTEF - Financial Highlights January-March2017
4th May 20175:32 pmRNSAGM Official Calling and Proposals

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.

Login to your account

Don't have an account? Click here to register.

Quickpicks are a member only feature

Login to your account

Don't have an account? Click here to register.