14 June 2023
The Issuer hereby gives conditional notice to all Bondholders of the Issuer’s outstanding Bonds for early voluntary redemption of the Bonds in full in accordance with Clause 11.3 (Voluntary Redemption (call option)) in the Terms and Conditions (the “Redemption”). Subject to the Condition described below, the Redemption Date is set to 28 June 2023 and the Record Date for the early voluntary redemption will be 20 June 2023, i.e. five (5) Business Days prior to the Redemption Date.
Please find the full notice linked below: