National Storage Mechanism | Additional information
RNS Number : 4585E
Propifi Bonds PLC
07 July 2021
 

Propifi Bonds plc: Coupon Payment Announcement

 

Propifi Bonds plc 2020-F1 GBP Secured 8.1% notes due 2025 ISIN GB00BLB0B914

Propifi Bonds plc 2020-F1 USD Secured 8.1% notes due 2025 ISIN GB00BKPRZZ59

 

 

 

Propifi Bonds plc is pleased to announce that, in accordance with the quarterly income payment schedule, funds were remitted to legal holders on 30 June 2021.

 

 

 

 

Notes to editors

 Truva Trustees is the note and security trustee for the above notes.

  

About the Issuer

https://www.propifibonds.co.uk

 

About Truva Trustees

truvatrustees.com

 

 

 

 

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