Notice of Redemption
03 Diciembre 2010 - 9:14AM
UK Regulatory
TIDM69NT
RNS Number : 3693X
Gracechurch Mortgage Funding
03 December 2010
RNS ANNOUNCEMENT
GRACECHURCH MORTGAGE FUNDING PLC (the Issuer)
NOTICE OF REDEMPTION
GBP500,000,000 Class A2a Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236974753
Reg S Common Code: 023697475
144A ISIN Number: US38406CAG87
144A Common Code: 023796783
CUSIP Number: 38406CAG8
(the Class A2a Notes)
GBP600,000,000 Class A2d Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0237975346
Reg S Common Code: 023797534
144A ISIN Number: US38406CAR43
144A Common Code: 023810328
CUSIP Number: 38406CAR4
(the Class A2d Notes)
GBP32,000,000 Class Ba Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236974910
Reg S Common Code: 023697491
144A ISIN Number: US38406CAH60
144A Common Code: 023796813
CUSIP Number: 38406CAH6
(the Class Ba Notes)
GBP17,000,000 Class Ca Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236975057
Reg S Common Code: 023697505
144A ISIN Number: US38406CAJ27
144A Common Code: 023796848
CUSIP Number: 38406CAJ2
(the Class Ca Notes)
GBP24,000,000 Class Da Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236975214
Reg S Common Code: 023697521
144A ISIN Number: US38406CAK99
144A Common Code: 023796929
CUSIP Number: 38406CAK9
(the Class Da Notes)
$2,440,000,000 Class A2b Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS023697378
Reg S Common Code: 023697637
144A ISIN Number: US38406CAB90
144A Common Code: 023797011
CUSIP Number: 38406CAB9
(the Class A2b Notes)
$4,000,000 Class Bb Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236976451
Reg S Common Code: 023697645
144A ISIN Number: US38406CAC73
144A Common Code: 023797356
CUSIP Number: 38406CAC7
(the Class Bb Notes)
$16,000,000 Class Cb Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236976618
Reg S Common Code: 023697661
144A ISIN Number: US38406CAD56
144A Common Code: 023797399
CUSIP Number: 38406CAD5
(the Class Cb Notes)
$34,000,000 Class Db Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236976881
Reg S Common Code: 023697688
144A ISIN Number: US38406CAE30
144A Common Code: 023797445
CUSIP Number: 38406CAE3
(the Class Db Notes)
EUR780,000,000 Class A2c Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236977343
Reg S Common Code: 023697734
144A ISIN Number: US38406CAM55
144A Common Code: 023797496
CUSIP Number: 38406CAM5
(the Class A2c Notes)
EUR32,500,000 Class Bc Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236977699
Reg S Common Code: 023697769
144A ISIN Number: US38406CAN39
144A Common Code: 023797500
CUSIP Number: 38406CAN3
(the Class Bc Notes)
EUR15,000,000 Class Cc Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236977939
Reg S Common Code: 023697793
144A ISIN Number: US38406CAP86
144A Common Code: 023797518
CUSIP Number: 38406CAP8
(the Class Cc Notes)
EUR16,500,000 Class Dc Asset Backed Floating Rate Notes due 2041
Reg S ISIN Number: XS0236978150
Reg S Common Code: 023697815
144A ISIN Number: US38406CAQ69
144A Common Code: 023797526
CUSIP Number: 38406CAQ6
(the Class Dc Notes)
(the Class A2a Notes, the Class A2d Notes, the Class Ba Notes, the Class Ca
Notes, the Class Da Notes, the Class A2b Notes, the Class Bb Notes, the Class Cb
Notes, the Class Db Notes, the Class A2c Notes, the Class Bc Notes, the Class Cc
Notes, the Class Dc Notes, each a "Note" and together the "Notes", and the
holders thereof the "Noteholders")
issued by the Issuer
constituted by a Trust Deed dated 21 December 2005 between the Issuer
and
The Bank of New York Mellon (the Note Trustee and the Security Trustee)
3 December 2010
The Issuer has today given notice to the Noteholders, in accordance with the
Conditions, that it will redeem the Notes in full on the Interest Payment Date
occurring on 11 January 2011 (the Step-Up Date) at a price equal to the
Principal Amount Outstanding of the relevant Note to be redeemed together with
accrued (and unpaid) interest on the Principal Amount Outstanding of the
relevant Note up to but excluding the date of redemption.
All defined terms used in this notice shall have the meaning given to them in
the Master Issuer Definitions and Construction Schedule dated 21 December 2005.
For further information please contact:
+-----------------------------------+
| Gracechurch Mortgage |
| Funding PLC |
+-----------------------------------+
| 1 Churchill Place |
+-----------------------------------+
| London |
+-----------------------------------+
| E14 5HP |
+-----------------------------------+
| Attention: Stuart Aiken |
+-----------------------------------+
| Telephone: +44(0)20 7773 |
| 5584 |
+-----------------------------------+
| Facsimile: +44(0)20 7773 |
| 5539 |
+-----------------------------------+
| Email: |
| Stuart.Aiken@barclaystreasury.com |
+-----------------------------------+
This information is provided by RNS
The company news service from the London Stock Exchange
END
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