General Announcement::Notice to Bondholders
Issuer & Securities
Issuer/ Manager
3I INFOTECH LIMITED
Securities
3IINFOTEUSD16.323M2.5%CB250331 - XS1423751418 - 66DB
Stapled Security
No
Announcement Details
Announcement Title
General Announcement
Date &Time of Broadcast
19-Dec-2016 17:07:26
Status
New
Announcement Sub Title
Notice to Bondholders
Announcement Reference
SG161219OTHRG8UV
Submitted By (Co./ Ind. Name)
3i Infotech Limited
Designation
Company Secretary
Description (Please provide a detailed description of the event in the box below)
The Issuer notifies Bondholders that to the extent Bondholders have not provided details of their custody account in India into which Shares may be deposited upon automatic conversion pursuant to Condition 8.12, such Bondholders should contact (i) within the two month period after December 9, 2016, Deutsche Bank AG, London Branch as the Principal Agent, and (ii) after the date which falls two months after December 9, 2016, the Issuer, for transfer of such Shares or the related Net Proceeds. In order for a Bondholder to claim its entitlement to Agent Shares or Net Proceeds from the sale of Agent Shares, it will also need to provide the information set forth in Annex A, evidence of its ownership of Bonds as of December 9, 2016, and such other information as the Share Agent or the Issuer may reasonably request. Such information must be provided to Deutsche Bank AG, London Branch as the Principal Paying Agent through the Clearing Systems if it is provided prior to the date which is two months after December 9, 2016, following which, such information should be provided to the Issuer directly at
3i Infotech Limited
Tower # 5, 5th Floor
International Infotech Park
Vashi, Navi Mumbai - 400 703
Maharashtra, India
Email: compliance@3i-infotech.com
ANNEX A
Euroclear/Clearstream account no.
The name of the beneficial owners of the Existing Bonds.
The name of a contact person.
Telephone number and email address.
The name of the depository.
The name of the depository participant.
The depository participant identification number.
Beneficiary account number/client identification number.
Permanent account number (if applicable).
Please check with your depository participant to ensure that the details of the allottee given in this Annexure match with the data available with the depository participant of the allottee.
Attachments
Notice to Bondholders - New Bonds.pdf
Total size =292K
Related Announcements
Related Announcements