Company Announcements

Notice to Noteholders

Source: RNS
RNS Number : 3247C
Virgin Money UK PLC
10 October 2022
 

Form of Notice to Noteholders

Virgin Money UK PLC

("Issuer")

 

NOTICE TO NOTEHOLDERS

£450,000,000 8 per cent. Fixed Rate Reset Perpetual Subordinated Contingent Convertible Notes

ISIN: XS1346644799

COMMON CODE: 134664479

NOTICE IS HEREBY GIVEN that, having received Supervisory Permission and complied with the Regulatory Preconditions, the Issuer will redeem the Notes in full on 8 December 2022 (the "Redemption Date") pursuant to Condition 8(b) (Redemption at the Option of the Issuer) of the Notes. This redemption is subsequent to the issuance of £350m 8.25 per cent. Fixed Rate Reset Perpetual Subordinated Contingent Convertible Notes by the Issuer in June 2022, as a normal part of the Group's capital management.

As specified in the terms and conditions of the Notes, the Notes will be redeemed at their principal amount together with interest accrued and unpaid to (but excluding) the Redemption Date.

Following redemption of the Notes, (i) the Notes will be cancelled and no further interest payments will be made, (ii) request will be made to the Irish Stock Exchange for the listing of the Notes on the Official List of the Irish Stock Exchange and admission to trading of the Notes on the Global Exchange Market to be cancelled.

Unless otherwise defined in this notice, all terms used in this notice are as defined in the terms and conditions of the Notes.

The LEI of Virgin Money UK PLC is 213800ZK9VGCYYR6O495

Announcement authorised for release by Lorna McMillan, Group Company Secretary.

10 October 2022

For Further information please contact:

Investors and Analysts


Richard Smith

07748 399303

Head of Investor Relations

richard.smith@virginmoneyukplc.com

Company Secretary


Lorna McMillan

07834 585436

Group Company Secretary

lorna.mcmillan@virginmoneyukplc.com

Media Relations


Press Office

0800 066 5998


press.office@virginmoneyukplc.com

 

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