Imperial Brands Finance PLC Issuer Call Notice (2077V)
12 Abril 2021 - 11:35AM
UK Regulatory
TIDM94JK
RNS Number : 2077V
Imperial Brands Finance PLC
12 April 2021
IMPERIAL BRANDS FINANCE PLC
Legal Entity Identifier (LEI) No. 2138008L3B3MCG1DFS50
12 April 2021
ISSUER CALL NOTICE
To whom it may concern,
Imperial Brands Finance PLC, as issuer of the Notes identified
below, hereby notifies the Noteholders that it is exercising its
right to call the Notes in whole, in accordance with Clause 18
(Part A - Contractual Terms: Provisions Relating to Redemption) of
the Final Terms dated 27 January 2017 of the Notes (the "Final
Terms"), with effect as of the Optional Redemption Date specified
below.
ISIN: XS1558013014
Issuer: Imperial Brands Finance PLC
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Structure: EUR 500,000,000 0.50 per cent.
Guaranteed Notes due 27 July
2021
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Format: Registered
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Aggregate Notional Amount: EUR 500,000,000
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Original Issue Date: 27 January 2017
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Original Maturity Date: 27 July 2021
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Optional Redemption Date 27 April 2021
(Call):
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Minimum call Notice Number 15 Calendar Days (12 April 2021)
of Days:
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Optional Redemption Amount 100.00 per cent. of the Aggregate
(Call): Notional Amount plus accrued
but unpaid Interest
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Terms defined in the Final Terms have the same meaning in this
notice unless given a different meaning herein. This Issuer Call
Notice should be read in conjunction with the Prospectus and the
Final Terms.
The Noteholders are entitled to receive the Optional Redemption
Amount (Call). Cash will be delivered by Imperial Brands Finance
PLC to The Bank of New York Mellon, London Branch as Issuing and
Paying Agent on such Optional Redemption Date.
This notice is irrevocable and shall be governed by English
Law.
For further information, please contact:
Imperial Brands Finance PLC
Peter Walker-Smith, Senior Treasury Manager
121 Winterstoke Road
Bristol
BS3 2LL
United Kingdom
Telephone: +44 (0)7790 955767
Email: peter.walker-smith@impbrands.com
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END
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