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BNP PARIBAS ARBITRAGE ISSUANCE B.V. - Notice confirming written consent of Noteholders

Release Date: 28/04/2017 09:00
Code(s): ZA065 BNPASI BNPEUR BNPUSA BNPWOR     PDF:  
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Notice confirming written consent of Noteholders

BNP Paribas Arbitrage Issuance B.V.
incorporated in The Netherlands)
(the Issuer)

BNPASI   ZAE000188348
BNPEUR   ZAE000188678
BNPUSA   ZAE000188330
BNPWOR   ZAE000188355
ZA065    ZAE000186722


NOTICE CONFIRMING WRITTEN CONSENT OF THE NOTEHOLDERS

1.   We refer to the request for consent (Consent Request) dated 10
     April 2017 delivered by BNP Paribas Arbitrage Issuance B.V.
     (the “Issuer”) to the holders of the Certificates (the
     “Holder”) issued under the Issuer’s Note, Warrant and
     Certificate Programme pursuant to a base prospectus dated 3
     June 2013, as supplemented from time to time (the “Base
     Prospectus”) read together with the JSE Placement Document
     dated 21 November 2013, as amended and/or supplemented from
     time to time (the “JSE Placement Document”), in accordance
     with Condition 7 (Notices) of the section headed “Additional
     Terms and Conditions” in the JSE Placement Document (the
     “Additional Terms and Conditions”) for purposes of obtaining
     the Holders’ written consent to amend and restate the Pricing
     Supplements of the Certificates issued under Stock Code ZA065
     dated 5 December 2013 relating to the ZAR 3,000,000,000 Index
     Securities, Series CE1035SAD, the Certificates issued under
     Stock Code BNPEUR dated 18 February 2014 relating to the ZAR
     5,000,000,000 Fund Securities due 4 March 2019, Series
     CE1042BRD, the Certificates issued under Stock Code BNPUSA
     dated 18 February 2014 relating to the ZAR 5,000,000,000 Fund
     Securities   due   4   March  2019,   Series  CE1046BRD,   the
     Certificates issued under Stock Code BNPASI dated 18 February
     2014 relating to ZAR 5,000,000,000 Fund Securities due 4 March
     2019, Series CE1047BRD and Certificates issued under Stock
     Code BNPWOR dated 18 February 2014 relating to the ZAR
     5,000,000,000 Fund Securities due 4 March 2019, Series
     CE1048BRD (collectively the “Certificates”).



2.   We confirm that 98.7% of all Holders consented in favour of
     the proposed amendments and final versions of the amended and
     restated Pricing Supplements relating to the Certificates will
      be available on request from the South African Transfer Agent.


Debt Sponsor
The Standard Bank of South Africa Limited, acting through its
Corporate and Investment Banking division

Date: 28 April 2017




                              

Date: 28/04/2017 09:00:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). 
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