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398.87    -8.125 (-2.00%)
Bid:
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Spread: 0.17 (0.043%)
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XGLD Live PriceLast checked at - London Stock Exchange

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Notice to Securityholders

15 Aug 2013 17:27

NOTICE TO SECURITYHOLDERS

by

DB ETC plc

(the “Issuer”)

under its Secured ETC Precious Metal Linked Securities Programme

in relation to

Series 15 db Physical Gold SGD Hedged ETC

ISIN: GB00B4XVS583
(the Securities)

We hereby refer to the Securities issued by DB ETC plc (the “Issuer”) and the related Final Terms. Capitalised terms not otherwise defined in this notice will have the meanings ascribed to them in the Final Terms.

The Issuer hereby gives notice, in accordance with Condition 20 of the Terms and Conditions of the Securities, that it is electing to redeem all of the Securities after 3 September 2013 (the “Early Redemption Valuation Date”) in accordance with Condition 9(c) of the Terms and Conditions such event an ( “Issuer Call Redemption Event”).

A copy of this notice the (“Issuer Call Redemption Notice”) has also been delivered to the Programme Counterparty and each of the Transaction Parties.

Notices to Securityholders are validly delivered to the Clearing System(s) for communication by the Clearing System(s) to the Securityholders.

If you are not the ultimate beneficial holder in respect of the Securities, or if you have recently disposed of the Securities, please forward this notice to the ultimate beneficial holder or purchaser respectively.

Securityholders with queries relating to this notice may address them to the Arranger:

Email: info.dbetc@db.com

Hotline: +49 (0)69 910 82800 or +44 (0)20 754 57700

DB ETC plc

Jersey, 5 July 2013

Copyright Business Wire 2013

Date   Source Headline
27th Feb 20142:58 pmBUSValue per Security
26th Feb 20144:00 pmBUSNotice to Holders
26th Feb 20142:08 pmBUSValue per Security
25th Feb 201412:18 pmBUSValue per Security
24th Feb 20144:26 pmBUSIssuance of Securities
24th Feb 20144:20 pmBUSBuy-Back of Securities
24th Feb 20144:17 pmBUSValue per Security
21st Feb 20142:07 pmBUSValue per Security
20th Feb 20143:50 pmBUSValue per Security
19th Feb 20143:26 pmBUSIssuance of Securities
19th Feb 20143:21 pmBUSValue per Security
18th Feb 20144:46 pmBUSValue per Security
17th Feb 20143:57 pmBUSValue per Security
13th Feb 20143:05 pmBUSValue per Security
13th Feb 20143:03 pmBUSValue per Security
12th Feb 20144:36 pmBUSValue per Security
11th Feb 20144:11 pmBUSValue per Security
10th Feb 20144:43 pmBUSValue per Security
7th Feb 20144:11 pmBUSValue per Security
6th Feb 20144:05 pmBUSValue per Security
6th Feb 20144:01 pmBUSIssuance of Securities
5th Feb 20142:15 pmBUSValue per Security
5th Feb 20142:11 pmBUSIssuance of Securities
3rd Feb 20143:42 pmBUSValue per Security
31st Jan 20142:45 pmBUSValue per Security
30th Jan 20142:43 pmBUSValue per Security
29th Jan 20145:46 pmBUSValue per Security
28th Jan 20143:32 pmBUSIssuance of Securities
28th Jan 20143:28 pmBUSValue per Security
27th Jan 20142:56 pmBUSValue per Security
24th Jan 20144:16 pmBUSValue per Security
23rd Jan 20143:04 pmBUSValue per Security
22nd Jan 201412:11 pmBUSValue per Security
21st Jan 20144:26 pmBUSValue per Security
21st Jan 20144:22 pmBUSBuy-Back of Securities
20th Jan 20144:02 pmBUSValue per Security
20th Jan 20141:28 pmBUSIssuance of Securities
20th Jan 20141:25 pmBUSBuyback of Securities
20th Jan 20141:23 pmBUSValue per Security
16th Jan 20143:35 pmBUSValue per Security
15th Jan 20143:55 pmBUSValue per Security
14th Jan 20143:29 pmBUSValue per Security
13th Jan 20142:53 pmBUSValue per Security
10th Jan 20142:57 pmBUSValue per Security
9th Jan 20144:08 pmBUSBuyback of Securities
9th Jan 20144:06 pmBUSIssuance of Securities
9th Jan 20144:04 pmBUSValue per Security
8th Jan 20143:34 pmBUSValue per Security
7th Jan 20144:27 pmBUSValue per Security
7th Jan 20144:26 pmBUSIssuance of Securities

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