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Early Repurchase(s)

27 Nov 2020 14:22

 

ISIN

XS0976892611

Issuer Name

RENTOKIL

Paying Agent

HSBC Bank Plc

Redemption Type

REPURCHASE

Currency

EUR

O/S Balance

350,000,000.00

New Balance

248,869,000.00

Value Date

23-Nov-20

 

View source version on businesswire.com: https://www.businesswire.com/news/home/20201127005422/en/

Copyright Business Wire 2020

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