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Third Issuance of Internationalisation Bonds

11th Jul 2017 07:11

RNS Number : 6841K
Banco Santander S.A.
11 July 2017
 

 

MATERIAL FACT

 

 

In relation to the "Third Issuance of Internationalisation Bonds", with ISIN code ES0313900401, carried out by Banco Santander, S.A. (The Issuer), for one hundred and eighty million (180,000,000) US dollars (the Third Issuance), and the Securities Note of which was entered in the records of the Spanish National Securities Market Commission on 31 March 2016 with official registration number 97428, Banco Santander, S.A. hereby announces that it will proceed with the partial redemption and cancellation of the Internationalisation Bonds included in the Third Issuance on 12 July 2017 (the "Early Redemption Date"). The current unit nominal value is USD 118,750.

 

The partial redemption will be carried out on a pro rata basis, by reducing the unit nominal value of the internationalisation bonds by USD 22,500, such that, once the partial redemption has been made, the unit nominal value will be USD 96,250.

 

Likewise, on the Early Redemption Date, the Issuer will pay the holders of the internationalisation bonds included in the Third Issuance the amount equivalent to the interest earned, i.e. the amount corresponding to the interest earned, from the day the last quarterly interest payment was made until the Early Redemption Date, pursuant to the Securities Note.

 

In light of the foregoing, the securities redemption tables in item 4.9 of the Securities Note will now be as follows:

 

REDEMPTION OF THE SECURITIES OF THE ISSUANCE

REDEMPTION OF A PARTICULAR BOND

Date

Redemption

Outstanding Principal

Date

Redemption

Outstanding Principal

17 Mar 2016

180,000,000

17 Mar 2016

0

150,000

17 Jun 2016

-7,500,000

172,500,000

17 Jun 2016

-6,250

143,750

19 Sep 2016

-7,500,000

165,000,000

19 Sep 2016

-6,250

137,500

19 Dec 2016

-7,500,000

157,500,000

19 Dec 2016

-6,250

131,250

17 Mar 2017

-7,500,000

150,000,000

17 Mar 2017

-6,250

125,000

19 Jun 2017

-7,500,000

142,500,000

19 Jun 2017

-6,250

118,750

12 Jul 2017

-27,000,000

115,500,000

12 Jul 2017

-22,500

96,250

18 Sep 2017

-6,450,000

109,050,000

18 Sep 2017

-5,375

90,875

18 Dec 2017

-6,450,000

102,600,000

18 Dec 2017

-5,375

85,500

19 Mar 2018

-6,450,000

96,150,000

19 Mar 2018

-5,375

80,125

18 Jun 2018

-6,450,000

89,700,000

18 Jun 2018

-5,375

74,750

17 Sep 2018

-6,450,000

83,250,000

17 Sep 2018

-5,375

69,375

17 Dec 2018

-6,450,000

76,800,000

17 Dec 2018

-5,375

64,000

18 Mar 2019

-6,450,000

70,350,000

18 Mar 2019

-5,375

58,625

17 Jun 2019

-6,450,000

63,900,000

17 Jun 2019

-5,375

53,250

17 Sep 2019

-6,450,000

57,450,000

17 Sep 2019

-5,375

47,875

17 Dec 2019

-6,450,000

51,000,000

17 Dec 2019

-5,375

42,500

17 Mar 2020

-51,000,000

0

17 Mar 2020

-42,500

0

 

 

Published as a material fact for relevant purposes.

 

Boadilla del Monte, 11 July 2017

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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