13th Oct 2016 10:53
| ISIN | XS0139335029 | |
| Issuer Name | NORTHUMBRIAN WATER FINANCE PLC | |
| Paying Agent | HSBC BANK PLC | |
| Redemption Type | REPURCHASE | |
| Currency | GBP | |
| O/S Balance | 180,414,000.00 | |
| New Balance | 179,998,000.00 | |
| Value Date | 12-Oct-16 |
View source version on businesswire.com: http://www.businesswire.com/news/home/20161013005596/en/
Copyright Business Wire 2016
Related Shares:
Citi Fun 24