Раскрытие обязательной информацииКорпоративная информацияКорпоративное действие ASTANA FINANCE B.V. 9.00000 — THE SCHEDULED INTEREST PAYMENT DUE

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15 сентября 2010

Корпоративное действие ASTANA FINANCE B.V. 9.00000 — THE SCHEDULED INTEREST PAYMENT DUE

Corporate action number CA000001600587
Security ASTANA FINANCE B.V. 9.00000
ISIN US47972P2083
Corporate action description

TEXT :16R:GENL
:20C::CORP//CA000001600587
:20C::SEME//1025712352663722
:23G:NEWM
:22F::CAEV//DFLT
:98C::PREP//20100914122349
:16R:LINK
:13A::LINK//564
:20C::PREV//1025712352423695
:16S:LINK
:16S:GENL
:16R:USECU
:97A::SAFE//92344
:35B:ISIN XS0275278256
//ASTANA FINANCE B.V. 9.00000
16/11/11
:16S:USECU
:16R:ADDINFO
:70F::ADTX//

Event Details
Information Source: Trustee, The Bank Of New York Mellon, Global Corporate Trust, London.

Event Of Default: The Trustee Has Been Given Notice That An Event Of Default Has Occurred And Is Continuing Under Condition 11(I) Of The Terms And Conditions Of The Notes. The Issuer Has Failed To Make A Scheduled Payment Of Interest On The Notes Due On 16 May 2009. Such Failure Has Continued For A Period Of 5 Business Days Following The Date Upon Which The Scheduled Interest Payment Was Due.

Right To Accelerate: Pursuant To Condition 11, The Trustee If So Requested By Holders Of Not Less Than One-Fifth In Principal Amount Of The Notes Then Outstanding Or If So Directed By An Extraordinary Resolution, Shall Give Notice To The Issuer That The Notes Are And They Shall Immediately Become Due And Repayable At Their Principal Amount Together With Accrued Interest.No Further Action By Trustee: The Trustee Is Not Required To Take Any Steps, Proceedings Or Other Action At The Direction Of Any Person (Including A Direction To Declare The Notes Immediately Due And Repayable) And Shall Take No Action In Regard To The Event Of The Default Unless And Until It Has Been Indemnified, Secured And/Or Pre-Funded To Its Satisfaction In Accordance With The Provisions Of The Trust Deed.

Noteholders Wishing To Direct The Trustee Pursuant To Condition 11 Must First Disclose Their Identity And Provide Evidence Of Their Holdings To The Trustee.

This Corporate Action Notification Does Not Constitute An Offer To Sell Or The Solicitation Of An Offer To Buy Any Securities By Anyone In Any Jurisdiction. It Is Not, And Should Not Be Construed Or Treated As, Investment Or Financial Advice. In Providing This Information, Euroclear Bank Is Not Acting As Agent Of The Issuer. By Sending An Instruction, You Confirm To Euroclear Bank That You (And Any Beneficial Owner(S) For Whom You Act) Comply With The Terms And Conditions Of The Offer.

To Take Action
A/ To Declare The Bonds Due And Payable And Disclose Your Identity And The Identity Of The Beneficial Holder.

B/ To Only Disclose Your Identity And The Identity Of The Beneficial Holders, And Do Not Declare The Bonds Due And Payable.

For Both Instruction Types, Please Send One Instruction Per Underlying Beneficial Owner.

Authorisation To Disclose Information
By Sending An Instruction (Whichever The Type), You Automatically Authorise Euroclear Bank To Disclose Your Euroclear Bank Account Number, Name (As It Appears In Our Records), And All Details Of The Instruction To The Trustee.

Blocking Of Securities
Upon Receipt Of Your Instruction (Whichever The Type), Your Holding Will Be Blocked Until The Trustee Advises Us Otherwise.

Instruction deadline One working day beforeEuroclear Deadline
Additional documentation Yes
For additional information please contact your account manager
Information provided by Euroclear Bank S.A./N.V.
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