WD::General Announcement::Notice of Adjustment to Conversion Price for Rights 2021 MCBs

Issuer & Securities

Issuer/ Manager
SINGAPORE AIRLINES LIMITED
Securities
SIA US$600M3.375%N290119 - XS2405871570 - VB9B
SIA S$700M3.035%N250411 - SG7AG1000009 - 6S1B
SIA S$700M3.13%N270823 - SG7FH2000005 - 7J1B
SIA S$600M3.16%N231025 - SGXF82409008 - Z7VB
SIA S$750M 3.03% B 240328 - SGXF93746596 - SQ1B
SIA S$500M3.5%N301202 - SGXF10397887 - HGGB
SIA S$850M1.625%CB251203 - XS2260025296 - VTRB
SIA US$500M3%N260720 - XS2284332769 - FJYB
SIA S$300M3.75%N240408 - SG6PE4000001 - 3F4B
SINGAPORE AIRLINES LTD - SG1V61937297 - C6L
Stapled Security
No

Announcement Details

Announcement Title
General Announcement
Date &Time of Broadcast
14-Dec-2022 20:51:00
Status
Withdraw
Announcement Sub Title
Notice of Adjustment to Conversion Price for Rights 2021 MCBs
Announcement Reference
SG221212OTHRCGWC
Submitted By (Co./ Ind. Name)
Brenton Wu
Designation
Company Secretary
Description (Please provide a detailed description of the event in the box below)
Please refer to the attached file for the notice of adjustment to conversion price for the S$6,196,793,517 zero coupon mandatory convertible bonds due 2030.

Reason(s) for Withdrawal

Reason(s) for Withdrawal
The announcement made on 12 December 2022 relating to the Mandatory Convertible Bonds (MCBs) is withdrawn from the all securities category and re-posted on 14 December 2022 under the category of securities specific to MCBs. The contents of the replacement and withdrawn announcements remain unchanged.

Attachments

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12/12/2022 19:28:43