NOTICE OF EARLY REDEMPTION

Summary by AI BETAClose X

London Wall Mortgage Capital PLC has announced the early redemption of all outstanding Series Fleet 2021-01 Notes, including the A, B, C, Z1, Z2, Z3, X, and S tranches, on the Series Payment Date of May 15, 2026. The redemption will occur at the Note Principal Amount Outstanding plus all accrued and unpaid liabilities, including interest. The Series Note Trustee has granted a waiver to reduce the minimum notice period from 20 to 18 business days, deeming it not materially prejudicial to noteholders, and has consented to the release of Series Security one business day prior to the redemption date.

Disclaimer*

London Wall Mortgage Capital PLC
20 April 2026
 

RIS Notification

:

NOTICE OF EARLY REDEMPTION

LONDON WALL MORTGAGE CAPITAL PLC

(Registered in England and Wales under number 10001337)

(the "Issuer")

Series Fleet 2021-01 A Notes

(ISIN: XS2336172452)

 

Series Fleet 2021-01 B Notes

(ISIN: XS2336172700)

 

Series Fleet 2021-01 C Notes

(ISIN: XS2336172882)

 

Series Fleet 2021-01 Z1 Notes

(ISIN: XS2336173187)

 

Series Fleet 2021-01 Z2 Notes

(ISIN: XS2336173344)

 

Series Fleet 2021-01 Z3 Notes

(ISIN: XS2336173690)

 

Series Fleet 2021-01 X Notes

(ISIN: XS2336172965)

 

Series Fleet 2021-01 S Notes

(ISIN: XS2336174821)

(together, the "Series Fleet 2021-01 Notes")

 

Clause 1 (Standard Interpretation Provision) of the RMBS Framework Terms, Edition 1, dated 1 November 2016 and signed by or on behalf of Citibank, N.A., London Branch (as the Security Trustee) for the purposes of identification (as the same may be amended, varied or supplemented from time to time) in relation to the Issuer's residential mortgage backed securities programme shall apply to this notice as if set out in this paragraph and treating this notice as the Principal Document.

 

NOTICE IS HEREBY GIVEN to each Holder of a Series Fleet 2021-01 Note that:

 

(a)        all of the outstanding Series Fleet 2021-01 Notes will be redeemed by the Issuer on the Series Payment Date falling on 15 May 2026 (the Optional Redemption Date), pursuant to Base Condition 6.4 (Full redemption at the option of the Issuer) of the Note Conditions in respect of the Series Fleet 2021-01 Notes;

(b)       the Series Fleet 2021-01 Notes will be redeemed at the Note Principal Amount Outstanding of each of the Series Fleet 2021-01 Notes on the Optional Redemption Date plus all other accrued and unpaid liabilities in respect of each of the Series Fleet 2021-01 Notes on the Optional Redemption Date (including all accrued interest outstanding);

(c)        payment of principal and interest in respect of each Series Fleet 2021-01 Note will be made to the person shown as at the close of business on the relevant Series Note Register Record Date as the Holder of such Series Fleet 2021-01 Note in the Series Note Register in accordance with the payment details held as at the close of business on the Series Note Register Record Date by the Series Note Registrar in respect of such person; and

(d)       pursuant to Base Condition 15.2 (Trustee's right of waiver) of the Note Conditions, the Series Note Trustee has granted a waiver to allow for a reduction in  the minimum notice period requirement under Base Condition 6.4(a) of the Note Conditions from 20 Business Days to 18 Business Days in respect of the Optional Redemption Date on the basis that such waiver is not materially prejudicial to the Noteholders, and the Series Note Trustee and the Security Trustee have consented to the release of the Series Security over the Mortgages comprising the Series Portfolio one Business Day prior to the Optional Redemption Date in connection with the redemption of the Series Fleet 2021-01 Notes.

 

This notice is given on 20 April 2026.

London Wall Mortgage Capital plc

8th Floor

100 Bishopsgate

London EC2N 4AG

 

 

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