Notice of Redemption
09 11월 2010 - 12:49AM
UK Regulatory
TIDM76HQ
RNS Number : 8141V
Mound Financing (No.6) PLC
08 November 2010
RNS ANNOUNCEMENT
MOUND FINANCING (NO. 6) PLC
Fifth Floor 6 Broad Street Place
London
EC2M 7JH
(the Sixth Issuer)
NOTICE OF REDEMPTION
GBP1,500,000,000 Class A1 Asset Backed Floating Rate Notes due February 2044
(Common Code:039919494 & ISIN: XS0399194942) (the Class A1 Notes)
issued by the Sixth Issuer
(the holders thereof the Noteholders)
constituted by the Sixth Issuer Trust Deed dated 13 November 2008 (the Sixth
Issuer Trust Deed) (as may be amended, varied or supplemented from time to
time), as amended by the Rectification Deed to the Sixth Issuer Trust Deed dated
7 August 2009 (the Sixth Issuer Rectification Deed), between
the Sixth Issuer and BNY Corporate Trustee Services Limited (the Note Trustee)
8 November 2010
Notice is given by the Sixth Issuer to the Sixth Issuer Noteholders that the
Seller on the Funding Interest Payment Date that occurred on 8 November 2010
(the Relevant Date) made a payment to Funding pursuant to Clause 6.1 of the
Amended and Restated Mortgages Trust Deed dated 3 November 2010 (the Mortgages
Trust Deed) in an amount which, together with the Funding Available Principal
Receipts that were available to Funding in accordance with the Funding
Pre-Enforcement Principal Priority of Payments, was sufficient to enable Funding
to repay the amount outstanding under the Loan Tranche corresponding to the
Sixth Issuer Class A1 Notes (the Sixth Issuer Class A1 Advance) due under the
Intercompany Loan Terms and Conditions signed by Funding and the Security
Trustee for the purposes of identification on 2 May 2000 and restated on 1
February 2001 and amended on 2 June 2003 and (the Intercompany Loan Terms and
Conditions) and the Sixth Issuer Intercompany Loan Confirmation dated 13
November 2008 (the Sixth Issuer Intercompany Loan Confirmation) which enabled
the Sixth Issuer to redeem the outstanding balance of the Sixth Issuer Class A1
Notes on the Relevant Date.
All defined terms used in this notice shall have the meaning given to them in
the Sixth Amended and Restated Master Definitions Schedule dated 1 June 2010
(the Master Definitions Schedule) and the Sixth Issuer Master Definitions
Schedule dated 13 November 2008 (the Sixth Issuer Definitions Schedule).
For further information please contact:
Tracey Hill
Bank of Scotland plc
1 Lovell Park Road, Leeds LS1 1NS
Tel: +44 (0113) 2352176
Fax: +44 (0113) 2357511
traceyhill@halifax.co.uk
This information is provided by RNS
The company news service from the London Stock Exchange
END
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