Confirmation of Bondholders Put Right Redemption
03 Agosto 2009 - 1:00AM
UK Regulatory
TIDM64TU
RNS Number : 7343W
Kokuyo Co. Ltd
03 August 2009
CONFIRMATION OF BONDHOLDERS PUT RIGHT REDEMPTION
Kokuyo Co., Ltd (the "Company")
JPY 12,000,000,000 Zero Coupon Convertible Bonds due 2024 (the "Bonds")
ISIN: XS0197609018 and Common Code 019760901
28 July, 2009
Kokuyo Co Ltd. hereby confirms the exercise by Bondholders of the put right
contained in Condition 6.5 of the Terms and Condition of the Bonds as follows:
+-------------------------------------+-------------------------------------+
| Date of the redemption | 19 August 2009 |
+-------------------------------------+-------------------------------------+
| Date of the settlement | 19 August 2009 |
+-------------------------------------+-------------------------------------+
| Aggregate principal amount of the | JPY 11,730,000,000 |
| Bonds put | |
+-------------------------------------+-------------------------------------+
| Aggregate principal amount of the | JPY 270,000,000 |
| Bonds outstanding after redemption | |
+-------------------------------------+-------------------------------------+
| | |
+-------------------------------------+-------------------------------------+
| (Reference) | |
+-------------------------------------+-------------------------------------+
| Aggregate principal amount of the | JPY 12,000,000,000 |
| Bonds outstanding as of 22 July | |
| 2009 | |
+-------------------------------------+-------------------------------------+
This information is provided by RNS
The company news service from the London Stock Exchange
END
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