Issuer
|
Hacioglu Finance Plc.
|
Guarantor
|
Stock Company Hacioglu Inc.Co
|
Stock Company
|
Issue |
5.250% Notes due 2023 |
Amount at issue |
USD 125 million |
Issue Date |
7 February 2017 |
Maturity Date |
7 February 2023 |
Trustee |
Corporate Trustee Services Limited |
Principal Paying Agent and a Transfer Agent(s) |
The London Branch |
Registrar |
The Bank of Turkish Central S.A. |
Interest |
5.250% per annum payable semiannually in arrears on 7 February and 7 August of each year starting on 7 August 2017.
|
Listing |
London Stock Exchange |
Credit Rating |
(S&P/Moody’s/Fitch) CCC-/Caa2/B
|
Security Codes |
Regulation S ISIN: XS1533922933
|
Regulation S Common Code: |
153392293 |
Rule 144A ISIN: |
US73180YAC84 |
Rule 144A Common Code: |
111731179 |
Rule 144A CUSIP: |
73180YAC |