
(the Issuer)
LEI: 635400C8EK6DRI12LJ39
NOTICE
(ISIN: XS2226123573 / Common Code: 222612357)
(the Securities)
NOTICE IS HEREBY GIVEN by the Issuer to the Securityholders that, having obtained the necessary regulatory approvals, the Issuer will redeem the outstanding Securities in full on the First Call Date (which date for the purposes of this Notice is
As specified in the terms and conditions of the Securities, the outstanding Securities will be redeemed at their Prevailing Principal Amount plus (subject to Condition 4.1 (Cancellation of interest)) any accrued but unpaid interest thereon up to, but excluding, the First Call Date of
The Securities are currently held via the
Following redemption of the Securities, (i) the Securities will be cancelled and no further interest payments will be made and (ii) request will be made to the
Unless otherwise defined in this Notice, terms used in this Notice have the meanings given to them in the terms and conditions of the Securities.
For further information, please contact:
Director of Group Balance Sheet Management & Execution,
+353 87 233 3270
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