Debt - Listing Confirmation::US$2,000,000,000 1.625% Guaranteed Notes due 2017;US$1,500,000,000 3.625% Guaranteed Notes due 2024

Issuer & Securities

Issuer/ Manager
HUTCHISON WHAMPOA INTERNATIONAL (14) LIMITED
Securities
HUTCHIWHAMUS$2B1.625%N171031R - USG46747AA27 - 20JB
HUTCHIWHAMUS$2B1.625%N171031A - US44841DAA00 - 20IB
HUTCHIWHAUS$1.5B3.625%N241031R - USG46747AB00 - 20HB
HUTCHIWHAUS$1.5B3.625%N241031A - US44841DAB82 - 20GB

Announcement Details

Announcement Title
Debt - Listing Confirmation
Date &Time of Broadcast
05-Nov-2014 17:53:44
Status
New
Announcement Sub Title
US$2,000,000,000 1.625% Guaranteed Notes due 2017;US$1,500,000,000 3.625% Guaranteed Notes due 2024
Announcement Reference
SG141105OTHRVGSI
Submitted By (Co./ Ind. Name)
Issuer Services
Designation
SGX-ST
Effective Date and Time of the event
06/11/2014 09:00:00
Description (Please provide a detailed description of the event in the box below)
1. The Notes will be listed and quoted in the Bonds Market with effect from 9.00 a.m., Thursday, 6 November 2014.

2. I) For the 2017 Notes:

a) The short name and abbreviated name of the Notes are 'HutchWh n1.625%171031A' and 'HUTCW17A' respectively. The ISIN code is US44841DAA00.
b) The short name and abbreviated name of the Notes are 'HutchWh n1.625%171031R' and HUTCW17R respectively. The ISIN code is USG46747AA27.


II) For the 2024 Notes:

a) The short name and abbreviated name of the Notes are 'HutchWh n3.625%241031A' and 'HUTCW24A' respectively. The ISIN code is US44841DAB82.
b) The short name and abbreviated name of the Notes are 'HutchWh n3.625%241031R' and HUTCW24R' respectively. The ISIN code is USG46747AB00



The letter 'R' denotes that trading of the Notes issued under Regulation S. The letter 'A' denotes that trading of the Notes issued under Rule 144A.

3. The Notes will be quoted and traded in United States Dollars ('US$'). The Notes will be in denominations of US$200,000 and integral multiples of US$1,000 above that amount. The Notes will be traded in a minimum board lot size of US$200,000.

4. The issue date of the Notes is 31 October 2014.

5. The name and address of the Principal Paying Agent is as follows: -

The Bank of New York Mellon
101 Barclay Street
New York, N.Y. 10286
U.S.A.

6. The joint Lead Managers/Bookrunners of the Notes are Citigroup Global Markets Inc., Goldman Sachs (Asia) L.L.C., The Hongkong and Shanghai Banking Corporation Limited and Merrill Lynch International.

7. Please refer to the Issuer's offering documents for complete details before trading.

DISCLAIMER: This announcement was prepared and issued by the named Issuer/ Manager to the Exchange. The Exchange assumes no responsibility for the correctness of any of the statements made, opinions expressed or reports contained in this announcement and is posting this announcement on SGXNet for the sole purpose of dissemination only. In the event of any queries or clarification required in respect of any matters arising from this announcement, such queries are to be made to the named Issuer/ Manager directly and not to the Exchange. The Exchange shall not be liable for any losses or damages howsoever arising as a result of the circulation, publication and dissemination of this announcement.