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Раскрытие обязательной информацииКорпоративная информацияСообщение о корпоративном действии Предложение о выкупе. VEDANTA RESOURCES P 9.50000 18/07/18, ISIN USG9328DAD24.
27 января 2017

Сообщение о корпоративном действии Предложение о выкупе. VEDANTA RESOURCES P 9.50000 18/07/18, ISIN USG9328DAD24.

Уважаемый Клиент, информируем Вас о том что в Депозитарий АО «АЛЬФА-БАНК» поступили информационные материалы из Euroclear Bank N.A. с целью доведения указанной информации до лиц, имеющих право на участие в данном корпоративном действии.

Тип сообщения: ISIN Наименование ЦБ Дата баланса:
Предложение о выкупе (BIDS) USG9328DAD24 VEDANTA RESOURCES P 9.50000 18/07/18 25.01.2017

--------------- EVENT DETAILS ------------------- UPDATE 25/01/2017: TENDER RESULTS AND PRICING OF NEW BONDS ANNOUNCEMENT . AT THE EXPIRATION TIME, VALID TENDERS HAD BEEN RECEIVED WITH RESPECT TO APPROXIMATELY USD 370,868,000 OF THE 2018 BONDS AND USD 425,028,000 OF THE 2019 BONDS. . ADDITIONALLY, USD 227,000 OF THE 2018 BONDS AND USD 200,000 OF THE 2019 BONDS WERE TENDERED PURSUANT TO THE GUARANTEED DELIVERY PROCEDURES DESCRIBED IN THE TENDER OFFER MEMORANDUM . THE COMPANY HAS ACCEPTED FOR PAYMENT ALL OF THE BONDS VALIDLY TENDERED PRIOR TO THE EXPIRATION TIME PURSUANT TO THE TENDER OFFERS. . FOLLOWING THE CANCELLATION OF VALIDLY TENDERED BONDS, INCLUDING BONDS VALIDLY TENDERED PURSUANT TO GUARANTEED DELIVERY PROCEDURES, USD 378,905,000 OF THE 2018 BONDS AND USD 774,772,000 OF THE 2019 BONDS WILL REMAIN OUTSTANDING . VEDANTA RESOURCES PLC ANNOUNCED THE PRICING OF THE OFFERING OF BONDS IN THE AGGREGATE PRINCIPAL AMOUNT OF USD 1.0 BILLION OF 6.375 PER CENT BONDS DUE 2022. . PLEASE REFER TO THE DOCUMENTATION FOR MORE DETAILS . NOTE .----- POSITIONS WILL REMAIN BLOCKED UNTIL FURTHER NOTICE OR UNTIL THE DEBIT OF POSITIONS. . END OF UPDATE .-------------------------------------- UPDATE 19/01/2017: DEADLINE EXTENDED . THE FOLLOWING DEADLINES HAVE BEEN UPDATED: . INSTRUCTION DEADLINE HOUR . INSTRUCTION WITHDRAWAL DEADLINE HOUR . INSTRUCTIONS ALREADY SENT REMAIN VALID . END OF UPDATE. .--------------------------------------------------------------- UPDATE 18/01/2017: NEW ISSUE ALLOCATION - IMPORTANT NOTE . THE AGENT HAS ADVISED THAT PRIORITY IN THE ISSUANCE OF THE NEW BONDS WILL BE GIVEN TO HOLDERS PARTICIPATING IN THIS TENDER OFFER. . TO RECEIVE SUCH PRIORITY, HOLDERS MUST CONTACT A JOINT DEALER MANAGER BEFORE 23/01/2017 AT 17:00 NY AND PROVIDE THE EUROCLEAR INSTRUCTION REFERENCE OF THEIR TENDER INSTRUCTION FROM THIS EVENT. . EMAIL: LIABILITY(UNDERSCORE)MANAGEMENT(AT)SC.COM . NO DOCUMENTATION HAS BEEN MADE AVAILABLE. . FOR ADDITIONAL QUERIES HOLDERS MAY CONTACT THE AGENT DIRECTLY ON VEDANTA(AT)DFKINGLTD.COM OR BY PHONE NUMBER STATED IN THE DOCUMENTATION IF THEY HAVE ANY ADDITIONAL INQUIRIES ON THE ALLOCATION OF THE NEW BONDS. . IF YOU WISH TO PARTICIPATE IN PRIORITY ALLOCATION YOU NEED TO SEND ONE INSTRUCTION PER BO . END OF UPDATE .------------------------------------------------------------ UPDATE 17/01/2017: DEADLINE FOR NOAC HAS BEEN AMENDED, DISCLOSURE HAS BEEN ADDEDED IN SUBJECT . END OF UPDATE .-------------------------------------- INFORMATION SOURCE: INFORMATION AGENT: D.F. KING AND CO., INC IN NEW YORK: 48 WALL STREET NEW YORK, NEW YORK 10005 BANKS AND BROKERS CALL: (212) 269-5550 ALL OTHER CALL TOLL FREE: (800) 290-6427 IN LONDON: 125 WOOD STREET LONDON EC2V 7AN UNITED KINGDOM BY TELEPHONE: +44 20 7920 9700 IN HONG KONG: SUITE 1601, 16/F, CENTRAL TOWER 28 QUEEN'S ROAD CENTRAL HONG KONG TELEPHONE: +852 3953 7230 . WEBSITE: HTTPS://SITES.DFKINGLTD.COM/VEDANTA EMAIL: VEDANTA(AT)DFKINGLTD.COM . GENERAL INFORMATION .------------------ THE PURPOSE OF THE TENDER OF OFFER IS TO PROACTIVELY MANAGE THE COMPANY'S UPCOMING DEBT MATURITIES AND THEREBY EXTENS ITS DEBT MATURITY PROFILE . . 1. TENDER AND CONSENT: NOT APPLICABLE . 2. CONDITIONS AND RESTRICTIONS: CERTAIN RESTRICTIONS MAY APPLY . THE OFFER IS SUBJECT TO, AMONG OTHER THINGS, THE FINANCING CONDITION . REFER TO THE OFFER DOCUMENTATION FOR THE COMPLETE CONDITIONS AND RESTRICTIONS OF THIS OFFER . TIMETABLE .-------- . EXPECTED SETTLEMENT DATE: CURRENTLY EXPECTED TO BE THE FOURTH BUSINESS DAY FOLLOWING THE EXPIRATION TIME . ENTITLEMENT .---------- 1. ACCRUED AND UNPAID INTEREST: ACCRUED AND UNPAID INTEREST WILL BE PAID UP TO, BUT NOT INCLUDING, THE SETTLEMENT DATE . 3. MINIMUM AGGREGATE ACCEPTANCE AMOUNT: THE TENDER OFFER IS NOT CONDITIONAL ON A MINIMUM AGGREGATE AMOUNT OF SECURITIES BEING TENDERED . . 4. TENDER CAP: NO TENDER CAP HAS BEEN SET . 5.PRORATION: NOT APPLICABLE . 6. POOLFACTOR: NOT APPLICABLE . 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 TO EUROCLEAR BANK, YOU CONFIRM THAT YOU (AND ANY BENEFICIAL OWNER(S) FOR WHOM YOU ACT) COMPLY WITH THE TERMS AND CONDITIONS OF THE CORPORATE EVENT AND COMPLY WITH APPLICABLE LOCAL LAWS OR REQUIREMENTS, INCLUDING BUT NOT LIMITED TO HOLDING AND TRANSFER RESTRICTIONS. IF HOLDING AND TRANSFER RESTRICTIONS WOULD PROHIBIT YOU (AND ANY BENEFICIAL OWNER(S) FOR WHOM YOU ACT) TO HOLD THE PROCEEDS OF A CORPORATE EVENT IN YOUR ACCOUNT IN EUROCLEAR BANK, YOU (AND ANY BENEFICIAL OWNER(S) FOR WHOM YOU ACT) MUST ENSURE TO SEND AN INSTRUCTION TO ALLOW THE TRANSFER OF THESE PROCEEDS TO AN ACCOUNT OUTSIDE THE EUROCLEAR SYSTEM.

Дополнительная информация:
АО «АЛЬФА-БАНК» не отвечает за полноту и достоверность информации, полученной от Euroclear Bank N.A.
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