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Name | Symbol | Market | Type |
---|---|---|---|
Tower 21-2.26 | LSE:41CW | London | Bond |
Price Change | % Change | Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Traded | Last Trade | |
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0.00 | 0.00% | 0 | - |
NOTICE TO NOTEHOLDERS
Tower Bridge Funding 2021-2 PLC
(Registered in England and Wales under number 13381504)
(the "Issuer")
Class A Notes due November 2063 (Reg S ISIN XS2360876465)
Class B Notes due November 2063 (Reg S ISIN XS2360876549)
Class C Notes due November 2063 (Reg S ISIN XS2360876622)
Class D Notes due November 2063 (Reg S ISIN XS2360877190)
Class X Notes due November 2063 (Reg S ISIN XS2360877273)
Class Z1 Notes due November 2063 (Reg S ISIN XS2360877356)
Class Z2 Notes due November 2063 (Reg S ISIN XS2360877430) (together the "Notes")
The Master Definitions Schedule, dated 9 July 2021 and signed for the purpose of identification by Cadwalader, Wickersham & Taft LLP and Allen Overy LLP in connection with the Notes (as the same may have been amended, varied or supplemented from time to time, the "Master Definitions Schedule") is expressly and specifically incorporated into this notice and, accordingly, the expressions defined in the Master Definitions Schedule shall, except where the context otherwise requires and save where otherwise defined in this notice, have the same meanings in this notice and this notice shall be construed in accordance with the interpretation provisions set out in Clause 2 (Interpretation) of the Master Definitions Schedule.
NOTICE IS HEREBY GIVEN by the Issuer to each Noteholder in accordance with Note Condition 13 (Notice to Noteholders), purely for the purposes of information, that:
Belmont Green Finance Limited (the "Company"), registered in England and Wales under number 09837692, being the Seller and Mortgage Administrator in relation to the residential mortgage-backed securitisation transaction involving the Issuer and the Notes, has notified the Issuer that:
(a) The Company was granted authorisation to accept deposits by the Prudential Regulation Authority and Financial Conduct Authority on 19 November 2024 (often referred to as a UK banking licence);
(b) The Company changed its name to Vida Bank Limited effective from 25 November 2024;
(c) The Company's corporate website address is now www.vidabank.co.uk.
For further information please contact:
Lesley-Anne Johnson
Head of Debt Investor Relations
Email: lesley-anne.johnson@vidabank.co.uk
By: Tower Bridge Funding 2021-2 PLC
10th Floor, 5 Churchill Place
London
E14 5HU
as Issuer
Dated 27 November 2024
1 Year Tower 21-2.26 Chart |
1 Month Tower 21-2.26 Chart |
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