Final Maturity::Mandatory
Issuer & Securities
Issuer/ Manager
HUTCHISON WHAMPOA EUROPE FINANCE (12) LIMITED
Security
HUTCHIWHAM EUR750M3.625%220606 - XS0790011398 - 2DUB
Announcement Details
Announcement Title
Final Maturity
Date &Time of Broadcast
07-Jun-2022 10:25:15
Status
New
Corporate Action Reference
SG220607REDMH2R6
Submitted By (Co./ Ind. Name)
Hutchison Whampoa Europe Finance (12) Limited
Designation
CSD
Original Maturity Date
06/06/2022
Event Narrative
Narrative Type
Narrative Text
Additional Text
Please find enclosed the Announcement on Redemption in respect of EUR750 million 3.625
per cent. Guaranteed Notes due 2022 (ISIN code: XS0790011398)
Disbursement Details
Existing Security Details
Disbursement Type
Cash
Cash Payment Details
Redemption Rate (%)
100
Pay Date
06/06/2022
Attachments
HWEF12 - Redemption Announcement_220607.pdf
Total size =103K
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