Intertrust

Capital Markets Members login

Send_me
Forgot password?

E-Arena - Issuer Notice Redemption 23 December 2013

 

ISSUER NOTICE E-ARENA B.V.

 

THIS NOTICE IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION

EUR 285,900,000

floating rate Senior Class A Notes 2011 due 2055, issue price 100 per cent. (ISIN: NL0009804780);

 

 

 

 

 

THIS NOTICE IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION

EUR 285,900,000

floating rate Senior Class A Notes 2011 due 2055, issue price 100 per cent. (ISIN: NL0009804780);

 

 

 

 

 

THIS NOTICE IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION

EUR 285,900,000

floating rate Senior Class A Notes 2011 due 2055, issue price 100 per cent. (ISIN: NL0009804780);

 

 

 

 

 

floating rate Senior Class A Notes 2011 due 2055, issue price 100 per cent. (ISIN: NL0009804780);

 

 

 

 

EUR 190,600,000

fixed rate Mezzanine Class B Notes 2011 due 2055, issue price 100 per cent. (ISIN: NL0009804806);

 

 

 

 

fixed rate Mezzanine Class B Notes 2011 due 2055, issue price 100 per cent. (ISIN: NL0009804806);

 

EUR 2,400,000

fixed rate Subordinated Class C Mortgage-Backed Notes 2011 due 2055, issue price 100 per cent. (ISIN: NL0009804814); (together the "Notes").

 

In accordance with a resolution of the sole noteholder, notice is hereby given that it is the intention of the Issuer to redeem the Notes in full on 23 December 2013, provided that the Issuer at such date has received the required funds or will otherwise be enabled to redeem the Notes. Last day of trading will be 17 December 2013.

Amsterdam, 16 December 2013

Intertrust Management B.V.

Managing Director

Prins Bernhardplein 200

1097 JB Amsterdam

The Netherlands

 

In accordance with a resolution of the sole noteholder, notice is hereby given that it is the intention of the Issuer to redeem the Notes in full on 23 December 2013, provided that the Issuer at such date has received the required funds or will otherwise be enabled to redeem the Notes. Last day of trading will be 17 December 2013.

Amsterdam, 16 December 2013

Intertrust Management B.V.

Managing Director

Prins Bernhardplein 200

1097 JB Amsterdam

The Netherlands

 

In accordance with a resolution of the sole noteholder, notice is hereby given that it is the intention of the Issuer to redeem the Notes in full on 23 December 2013, provided that the Issuer at such date has received the required funds or will otherwise be enabled to redeem the Notes. Last day of trading will be 17 December 2013.

Amsterdam, 16 December 2013

Intertrust Management B.V.

Managing Director

Prins Bernhardplein 200

1097 JB Amsterdam

The Netherlands

 

fixed rate Subordinated Class C Mortgage-Backed Notes 2011 due 2055, issue price 100 per cent. (ISIN: NL0009804814); (together the "Notes").

 

In accordance with a resolution of the sole noteholder, notice is hereby given that it is the intention of the Issuer to redeem the Notes in full on 23 December 2013, provided that the Issuer at such date has received the required funds or will otherwise be enabled to redeem the Notes. Last day of trading will be 17 December 2013.

Amsterdam, 16 December 2013

Intertrust Management B.V.

Managing Director

Prins Bernhardplein 200

1097 JB Amsterdam

The Netherlands

E-Arena - Issuer Notice Redemption 23 December 2013
Private Wealth Services