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Name | Symbol | Market | Type |
---|---|---|---|
Nat.grind.na 24 | LSE:75TX | London | Medium Term Loan |
Price Change | % Change | Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 99.694 | 0 | 00:00:00 |
TIDM75TX
RNS Number : 2056I
National Grid North America Inc.
22 November 2018
22 November 2018
NATIONAL GRID NORTH AMERICA INC.
GBP400,000,000 0.90 per cent. Convertible Bonds due 2020 (the "Bonds")
XS1297646439
NOTICE OF ADJUSTMENT TO THE CONVERSION PRICE
This Notice is being issued by and on behalf of National Grid North America Inc. (the "Issuer") as issuer of the Bonds. We refer to the terms and conditions of the Bonds (the "Conditions") contained in the Trust Deed dated 1 October 2015 and made between the Issuer and The Law Debenture Trust Corporation p.l.c. All words and expressions defined in the Conditions shall (save as otherwise provided herein or unless the context otherwise requires) have the same meanings herein.
On 8 November 2018, National Grid plc announced an interim-dividend of 16.08 pence per Ordinary Share (the "Interim-Dividend"). The Ex-Dividend Date in respect of such Interim-Dividend fell on 22 November 2018.
The Interim-Dividend exceeded the Dividend Threshold for the Relevant Period, and accordingly results in a downward adjustment to the Conversion Price pursuant to Condition 6 of the Bonds. The adjusted Conversion Price per Ordinary Share with effect from the Relevant Adjustment Date is GBP11.6945 and the adjusted Dividend Threshold from the Relevant Adjustment Date is
Relevant Period Dividend Threshold (GBP) From (and including) 22 November 2018 but on or before 31 March 2019 0 ------------------- Thereafter, but on or before 30 September 2019 0.2352 ------------------- Thereafter, but on or before 31 March 2020 0.1371 ------------------- Thereafter, but on or before 30 September 2020 0.2352 ------------------- Thereafter, but on or before 2 November 2020 0 -------------------
The Relevant Adjustment Date is 22 November 2018.
DISCLAIMER
This announcement may not be forwarded or distributed to any other person and may not be reproduced in any manner whatsoever. Any forwarding, distribution or reproduction of this announcement in whole or in part is unauthorised. Failure to comply with this directive may result in violation of the United States Securities Act of 1933, as amended (the "Securities Act") or the applicable laws of any such other jurisdiction.
This announcement is not an offer of securities for sale in the United States. The securities to which this announcement relates have not been registered under the Securities Act and may not be offered or sold in the United States or to, or for the account or benefit of, U.S. persons, absent registration or an exemption from registration under the Securities Act. There will be no public offering of the securities in the United States.
This announcement has been prepared solely for information purposes and is not an offer (or a solicitation of an offer) to buy or sell any securities in any jurisdiction.
CONTACTS
Investors and Analysts
Fixed Income Kwok Liu +44 7900 405729 (m) -------------------- Equity Will Jackson +44 7584 206578 (m) -------------------- Tom Edwards +44 7976 962791 (m) --------------------
Media
National Grid Sean Kemp +44 7960 012356 (m) -------------------- Teneo Charles Armitstead +44 (0)20 7420 3199 --------------------
This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.
END
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(END) Dow Jones Newswires
November 22, 2018 05:19 ET (10:19 GMT)
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