Scheme of Arrangement - Corporate Debt Restructuring::FURTHER EXTENSION OF CASH PREPAYMENT FEE DEADLINE

Issuer & Securities

Issuer/ Manager
CFLD (CAYMAN) INVESTMENT LTD.
Securities
CFLDINV US$350M6.65%PERSEC - XS1740223216 - 8ELB
CFLDINV US$500M6.5%B201221 - XS1729851490 - 8EDB
CFLDINV US$200M9%B210731 - XS1860402954 - IOFB
CFLDINV US$200M9%B210621 - XS1835626810 - 9LNB
CFLDINV US$350M7.125%B220408 - XS1972090119 - WFQB
CFLDINV US$650M8.6%B240408 - XS1972092248 - LMEB
CFLDINV US$530M8.625%B210228 - XS1953977326 - ZGUB
CFLDINV US$700M8.05%B250113 - XS2100597330 - XO7B
CFLDINV US$500M6.9%B230113 - XS2100597256 - WIHB
CFLDINV US$300M6.92%B220616 - XS2189577906 - ZP3B
CFLDINV US$330M8.75%B220928 - XS2232030788 - GUQB
Stapled Security
No

Announcement Details

Announcement Title
Scheme of Arrangement - Corporate Debt Restructuring
Date &Time of Broadcast
24-Nov-2022 16:43:11
Status
New
Announcement Sub Title
FURTHER EXTENSION OF CASH PREPAYMENT FEE DEADLINE
Announcement Reference
SG221124OTHRY4HW
Submitted By (Co./ Ind. Name)
CFLD/ Will Wang
Designation
Deputy Financing Director
Effective Date and Time of the event
24/11/2022 17:00:00
Description (Please provide a detailed description of the event in the box below)
At the request of certain holders of the Existing Bonds and in order to enable such holders to complete their internal procedures for accession, the Company hereby announces that the Cash Prepayment Fee Deadline will be further extended to 5:00 p.m., Hong Kong time, December 1, 2022.

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