Permanent Master Issuer PLC Notice to Note Holders
14 10월 2024 - 9:48PM
RNS Regulatory News
RNS Number : 1037I
Permanent Master Issuer PLC
14 October 2024
EXECUTION
VERSION
NOTICE TO NOTEHOLDERS
PERMANENT MASTER ISSUER PLC
1 Bartholomew Lane, London EC2N 2AX
(the Master Issuer)
NOTICE OF PAYMENT OF LOAN TRANCHES
£500,000,000 Series 1 Class A4 Asset Backed
Floating Rate Notes due July 2075 (ISIN: XS2058007944; Common Code:
205800794) (the 2019-1 Series 1 Class A4 Notes)
(the Notes and the holders thereof, the
Noteholders)
issued by the Master
Issuer constituted by a Master Issuer Trust Deed dated 17 October
2006 (as amended) between the Master Issuer and The Bank of New
York Mellon, London Branch as trustee for the Noteholders (the
Note Trustee)
14
October 2024
Notice is hereby given by the Master Issuer to the
Noteholders, that the Seller intends, on the Funding 2 Interest
Payment Date occurring in October 2024, to make a payment to
Funding 2 pursuant to Clause 7.1(b)(i) of the Amended and Restated
Mortgages Trust Deed dated 24 April 2023 in an amount (the
Seller Payment Amount)
which will be sufficient to enable Funding 2 to repay the aggregate
Outstanding Principal Balance due under the Loan Tranche
corresponding to the 2019-1 Series 1 Class A4 Notes (the
2019 Series 1 Class A4 AAA Loan
Tranche) due under the Master Intercompany Loan Agreement
(as amended and restated on 1 March 2007, 21 November 2007, 15
January 2008, 24 September 2009, 6 July 2010, 11 December 2014, 14
November 2016, 3 September 2019 and 24 April 2023) and the Loan
Tranche Supplement as amended and restated on 24 April 2023 so that
the Master Issuer may pay the Redemption Amount together with any
accrued and unpaid interest due on the 2019-1 Series 1 Class A4
Notes on or after the Call Option Date (as set out in the
applicable Final Terms) on the Funding 2 Interest Payment Date
occurring in October 2024.
Terms otherwise not defined in this notice shall have
the meaning given to them in the terms and conditions of the Notes
(the Conditions).
For further information please contact:
Bank of Scotland
plc Group Corporate Treasury 25 Gresham Street
London EC2V
7HN
Attention: Gavin Parker, Head of Securitisation
Execution and Collateral Management By: Permanent Master Issuer
PLC
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END
STRQKQBQBBDDPKD
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