General Announcement::NOTICE TO THE BONDHOLDERS
Issuer & Securities
Issuer/ Manager
CENTRAL NIPPON EXPRESSWAY COMPANY LIMITED
Securities
CENTRALNIPUS$400M2.091%N210914 - XS1484433864 - 4S2B
CENTRALNIPP US$200MF210914 - XS1484434086 - 4S3B
CENTRALNIPAUD300M2.701%N201109 - XS1900551919 - XL7B
CENTRALNIPUS$250MF210423 - XS1391407373 - 3Z8B
CENTRALNIPUS$250M2.849%N220303 - XS1572613559 - 6E5B
CENTRALNIPUS$300M F220303 - XS1572613989 - 6E6B
CENTRALNIPUS$250M2.241%B210216 - XS1361245365 - 3R7B
CENTRALNIPAUD100M3.374%B260528 - XS1416688460 - 4D7B
CENTRALNIPUS$150MF210528 - XS1415598421 - 4D8B
CENTRALNIPUS$500M2.362%B210528 - XS1415611463 - 4D6B
CENTRALNIPUS$350M2.293%B210423 - XS1391407969 - 3Z9B
Stapled Security
No
Announcement Details
Announcement Title
General Announcement
Date &Time of Broadcast
29-Mar-2019 10:11:14
Status
New
Announcement Sub Title
NOTICE TO THE BONDHOLDERS
Announcement Reference
SG190329OTHRXF5R
Submitted By (Co./ Ind. Name)
CENTRAL NIPPON EXPRESSWAY COMPANY LIMITED
Designation
Finance Team
Effective Date and Time of the event
29/03/2019 17:00:00
Description (Please provide a detailed description of the event in the box below)
The obligations of Central Nippon Expressway Company Limited under the U.S.$250,000,000 2.241 per cent. Bonds due 2021(Common Code:136124536/ISIN:XS1361245365) ,U.S.$350,000,000 2.293 per cent. Bonds due 2021(Common Code:139140796/ISIN:XS1391407969) ,U.S.$250,000,000 Floating Rate Bonds due 2021(Common Code:139140737/ISIN:XS1391407373) ,U.S.$500,000,000 2.362 per cent. Bonds due 2021(Common Code:141561146/ISIN:XS1415611463) ,U.S.$150,000,000 Floating Rate Bonds due 2021(Common Code:141559842/ISIN:XS1415598421), AUD100,000,000 3.374 per cent. Bonds due 2026(Common Code:141668846/ISIN:XS1416688460),U.S.$400,000,000 2.091 per cent. Notes due 2021(Common Code:148443386/ISIN:XS1484433864),U.S.$200,000,000 Floating Rate Notes due 2021(Common Code:148443408/ISIN:XS1484434086),U.S.$250,000,000 2.849 per cent. Notes due 2022(Common Code:157261355/ISIN:XS1572613559),U.S.$300,000,000 Floating Rate Notes due 2022(Common Code:157261398/ISIN:XS1572613989) and AUD300,000,000 2.701 per cent. Notes due 2020(Common Code:190055191/ISIN:XS1900551919) were assumed by the Japan Expressway Holding and Debt Repayment Agency on 29 March 2019 (Japan Time).
Attachments
Notice to the bondholders.pdf
Total size =303K
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