Corporate Debt security Details
Liberty UK and Europe Holdings Limited
Description | CLP23,891,000,000 Interest bearing Promissory Note |
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Series | |
Coupon | Fixed 4 |
Coupon Frequency | Annual |
Maturity Date | 20 Sep 2025 |
Issue Date | 21 Sep 2015 |
Currency | CLP |
Listed Amount Outstanding | 23,891,000,000.00 |
Minimum Denomination | 23,891,000,000.00 |
1st Interest Payment Date | 30 Nov 2016 |
Listing Type | Primary Listing on CSX |
ISIN | GB00BYY6VK84 |
Related Announcements
Release Date | Title |
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30 Nov 2021 | CSX ADMITS FURTHER SECURITIES OF LIBERTY UK AND EUROPE HOLDINGS LIMITED |
Release Date | Title |
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30 Dec 2020 | LIBERTY UK AND EUROPE HOLDINGS LIMITED: COMPANY ANNOUNCEMENT : NOTICE ![]() |
Release Date | Title |
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21 Nov 2016 | Liberty UK and Europe Holdings Limited: ANNOUNCEMENTS ![]() |
21 Mar 2016 | CSX ADMITS FURTHER SECURITIES OF LIBERTY UK AND EUROPE HOLDINGS LIMITED |
10 Mar 2016 | CSX ADMITS FURTHER SECURITIES OF LIBERTY UK AND EUROPE HOLDINGS LIMITED |
15 Feb 2016 | LIBERTY UK AND EUROPE HOLDINGS LIMITED - COMPANY ANNOUNCEMENT ![]() |
Release Date | Title |
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09 Feb 2015 | Liberty UK and Europe Holdings Limited VOLUNTARY ANNOUNCEMENT Directorship Changes ![]() |
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28 Sep 2012 | Liberty UK and Europe Holdings Limited - Issue of Share Notification ![]() |
27 Sep 2012 | Liberty UK and Europe Holdings Limited - Announces Change of Name ![]() |
Release Date | Title |
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31 Aug 2011 | CSX ADMITS LIBERTY ITB UK AND EUROPE LIMITED TO OFFICIAL LIST |