Redemption of freferred securities

RNS Number : 3169I
Banco Santander S.A.
29 May 2014
 

MATERIAL FACT

 

NOTICE OF REDEMPTION OF BANCO SANTANDER, S.A. SERIES 1/2009 PREFERRED SECURITIES ISSUANCE  (ORIGINALLY ISSUED BY BANCO ESPAÑOL DE CRÉDITO, S.A.) WITH ISIN ES0113440004

As established in section III.4.8.2 of the Prospectus concerning the issuance of Series 1/2009 Preferred Securities (hereinafter referred to as the "Preferred Securities") of Banco Santander, S.A. (issued originally by Banco Español de Crédito, S.A.) verified by the National Securities Market Commission on 28th May 2009 (hereinafter referred to as the "Prospectus"), the following is hereby notified:

Once authorization has been obtained from the Bank of Spain and pursuant to the provisions of the aforementioned section III.4.8.2 of the Prospectus, the Issuer of the Preferred Securities has agreed to redeem all of the issued outstanding Preferred Securities on 29th June 2014 (hereinafter referred to as the "Redemption Date"). Such decision, which is irrevocable, is hereby notified to the holders of the Preferred Securities within the time limit and for the purposes contemplated in the aforementioned section of the Prospectus. 

The Redemption Price, consisting of the nominal value of each Preferred Security plus an amount equal to the Remuneration accrued until the Redemption Date and unpaid, in accordance with the provisions of section III.4.8.1 of the Prospectus, will be payable to the holders of Preferred Securities by the Payment Agent on the Redemption Date.

                                                                                                                                                                                   

Boadilla del Monte (Madrid), 29th May 2014


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