7 November 2018
The Final Redemption date of the Bonds is on the 30th November 2018. The Final Redemption Date can be extended with six (6) months in accordance with section 11.1 (b) of the terms and Conditions.
The Issuer has informed the bondholders that the Final Redemption Date of the Bonds shall be extended with six (6) months which will make the 31st May 2019 a new Final Redemption Date.
Please see the Issuer’s full notice here.