Final Maturity::Mandatory

Issuer & Securities

Issuer/ Manager
CK HUTCHISON FINANCE (16) LIMITED
Security
CK HUTCHI EUR1.35B1.25%N230406 - XS1391085740 - 3X6B

Announcement Details

Announcement Title
Final Maturity
Date &Time of Broadcast
07-Apr-2023 10:48:49
Status
New
Corporate Action Reference
SG230407REDMP317
Submitted By (Co./ Ind. Name)
CK Hutchison Finance (16) Limited
Designation
CSD
Original Maturity Date
06/04/2023

Event Narrative

Narrative Type
Narrative Text
Additional TextPlease find enclosed the Announcement on Redemption in respect of EUR1.35 billion 1.25 per cent. Guaranteed Notes due 2023 (ISIN code: XS1391085740)

Disbursement Details

Existing Security Details
Disbursement Type
Cash
Cash Payment Details
Redemption Rate (%)
100
Pay Date
06/04/2023

Attachments