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February 4, 2021
New step in the financial restructuring of Vallourec SA: opening of a safeguard proceeding Boulogne-Billancourt (France), February 4, 2021 – Vallourec announces the opening today of a safeguard proceeding by the Commercial Court of Nanterre, with a 6-month maximum observation period. The opening of such proceeding aims inter alia, at allowing the implementation of the agreement in principle between the Company and its main creditors in order to rebalance its capital structure by reducing its ...
January 27, 2021
DGAP-News: CPI PROPERTY GROUP: CPI Property Group - 10-year Bond and Hybrid Offerings CPI Property Group - 10-year Bond and Hybrid Offerings 27.01.2021 / 21:27 CPI PROPERTY GROUP L-2661 Luxembourg PRESS RELEASE CPI PROPERTY GROUP (" CPIPG" or the " Group"), the leading owner of income-generating real estate in the Czech Republic, Berlin, Warsaw and the CEE region, announces the successful offering of 10-year senior unsecured and hybrid bonds totaling €1 billion. On 27 January 2021, CPIPG is...
January 27, 2021
CPI Property Group - 10-year Bond and Hybrid Offerings CPI PROPERTY GROUP (" CPIPG" or the " Group"), the leading owner of income-generating real estate in the Czech Republic, Berlin, Warsaw and the CEE region, announces the successful offering of 10-year senior unsecured and hybrid bonds totaling €1 billion. On 27 January 2021, CPIPG issued €600 million of new 10-year senior unsecured bonds with a coupon of 1.5% and €400 million of new undated subordinated notes callable in 2028. Total i...
January 26, 2021
Информация о выпуске еврооблигации Evraz plc, 8.25% 28jan2021, USD. Эмиссия, эмитент, доходность, котировки, цена, выплаты, комментарии аналитиков, рейтинги
January 25, 2021
and Regulatory, Complaints and Covid-19 payment holiday Update Amigo Holdings PLC (LSE: AMGO), a leading provider of guarantor loans in the UK, provides an update on its announcement dated 21 December 2020, titled "Potential Scheme of Arrangement", and on the other matters set out below. Amigo Holdings PLC has recently incorporated a new wholly owned subsidiary, ALL Scheme Ltd ("SchemeCo"), for the purpose of SchemeCo applying for a Scheme of Arrangement under Part 26 o...
January 25, 2021
TOTAL SE: Notice of Redemption Dated 25 January 2021 Deeply Subordinated Fixed Rate Resettable Notes ISIN: XS 1195201931 TOTAL SE (Paris:FP) (LSE:TTA) (NYSE:TOT): NOTICE IS HEREBY GIVEN that, pursuant to Condition 6.2 (Optional Redemption) of the terms and conditions of the Euro 2,500,000,000 Undated Non-Call 6 Year Deeply Subordinated Fixed Rate Resettable Notes (the "Notes") issued on 26 February 2015 by TOTAL SE (formerly TOTAL S.A., incorporated as a European Company ( societas europaea) re...
January 22, 2021
Forward-looking statements Certain information contained in this news release may constitute "forward-looking statements" within the meaning of the Private Securities Litigation Reform Act of 1995. These statements are not guarantees of future results or performance and involve certain risks, uncertainties and assumptions difficult to predict or beyond the Issuers control. You should not place undue reliance on any forward-looking statement and should consider the uncertainties and risks ...
January 22, 2021
NOTICE OF CANCELLATION OF ADMISSION TO LISTING ON THE OFFICIAL LIST AND CANCELLATION OF ADMISSION TO TRADING ON THE REGULATED MARKET OF THE LONDON STOCK EXCHANGE PLC LANARK MASTER ISSUER PLC (the "Issuer") (Reg S ISIN: XS1839670293, Reg S Common Code: 183967029; Rule 144A ISIN: US513770AZ09, Rule 144A Common Code: 185340503) (the "Notes") NOTICE IS HEREBY GIVEN that: (a) the London Stock Exchange plc (the "Exchange") has been informed by the Issuer that the Issuer will fully ...
January 18, 2021
Allianz Finance II B.V. Allianz SE resolves to call subordinated bonds for redemption in March 2021 (ISIN DE000A0GNPZ3 and ISIN XS0857872500) DGAP-Ad-hoc: Allianz Finance II B.V. / Key word(s): Bond Allianz Finance II B.V.: Allianz SE resolves to call subordinated bonds for redemption in March 2021 (ISIN DE000A0GNPZ3 and ISIN XS0857872500) 18-Jan-2021 / 21:29 CET/CEST Disclosure of an inside information acc. to Article 17 MAR of the Regulation (EU) No 596/2014, transmitted by DGAP - a service o...
January 18, 2021
Investegate announcements from Allianz SE, Allianz SE resolves to call subordinated bonds for redemption in March 2021 (ISIN DE000A0GNPZ3 and ISIN XS0857872500)