Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 the Interest Payment Date falling on, or nearest to, 10 April 2030 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 26 January 2022 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Sources: Securities Offering Disclaimer
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 the Interest Payment Date falling on, or nearest to, 2 November 2024 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Sources: Listing Announcement
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 11 October 2024 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 76.
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Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 the Interest Payment Date falling on 9 October 2031 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 the Interest Payment Date falling on 25 November 2030 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Final Redemption. Unless previously redeemed, or purchased and cancelledcancelled as provided below, the 2025 Bonds will be redeemed at their principal amount on 21 June 2022 27 April 2025 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Sources: Fiscal Agency Agreement
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 25 November 2025 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 the Interest Payment Date falling on 9 October 2027 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 18 July 2024 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 76.
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Sources: Fiscal Agency Agreement
Final Redemption. Unless previously redeemed, or purchased and cancelledcancelled as provided below, the 2028 Bonds will be redeemed at their principal amount on 21 June 2022 17 July 2028 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Sources: Fiscal Agency Agreement
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 17 November 2024 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Sources: Listing Announcement
Final Redemption. Unless previously redeemed, or purchased and cancelledcancelled as provided below, the 2029 Bonds will be redeemed at their principal amount on 21 June 2022 27 April 2029 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Sources: Fiscal Agency Agreement
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 the Interest Payment Date falling on 17 November 2033 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Sources: Listing Announcement
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 14 November 2028 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 76.
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Sources: Trust Deed
Final Redemption. Unless previously redeemed, or purchased and cancelled, the Bonds will be redeemed at their principal amount on 21 June 2022 30 July 2024 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 76.
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Sources: Securities Offering Announcement
Final Redemption. Unless previously redeemed, or purchased and cancelledcancelled as provided below, the 2024 Bonds will be redeemed at their principal amount on 21 June 2022 17 January 2024 (the “Maturity Date”). The Bonds may not be redeemed at the option of the Issuer other than in accordance with this Condition 7.
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Sources: Fiscal Agency Agreement