TIDM10FX TIDM88BX
RNS Number : 9572N
Heathrow
04 October 2021
Not for release, publication or distribution in whole or in
part, directly or indirectly, in or into the United States of
America.
Publication of Documents Incorporated by Reference
The following documents, which are incorporated by reference in
a prospectus which has been approved by the Financial Conduct
Authority on 4 October 2021 and published by Heathrow Funding
Limited (the Issuer) in connection with the multicurrency programme
for the issuance of bonds by the Issuer (the Prospectus), are
available for viewing:
-- Audited annual non-consolidated financial statements of the
Issuer for the financial year ended 31 December 2018 (pages 7- 20
inclusive)
-- Audited annual non-consolidated financial statements of the
Issuer for the financial year ended 31 December 2019 (pages 7 - 24
inclusive)
-- Audited annual non-consolidated financial statements of the
Issuer for the financial year ended 31 December 2020 (pages 11 - 32
inclusive)
-- Audited annual non-consolidated financial statements of
Heathrow for the financial year ended 31 December 2018 (pages 30 -
71 inclusive)
-- Audited annual non-consolidated financial statements of
Heathrow for the financial year ended 31 December 2019 (pages 114 -
153 inclusive)
-- Audited annual non-consolidated financial statements of
Heathrow for the financial year ended 31 December 2020 (pages 118 -
168 inclusive)
-- Audited annual consolidated financial statements of Heathrow
(SP) for the financial year ended 31 December 2018 (pages 31 - 89
inclusive)
-- Audited annual consolidated financial statements of Heathrow
(SP) for the financial year ended 31 December 2019 (pages 113 - 200
inclusive)
-- Audited annual consolidated financial statements of Heathrow
(SP) for the financial year ended 31 December 2020 (pages 118 - 205
inclusive)
-- Unaudited semi-annual consolidated financial statements of
Heathrow (SP) for the financial half-year ended 30 June 2021 (pages
11 - 36 inclusive)
-- Audited annual non-consolidated financial statements of
Heathrow Express for the financial year ended 31 December 2018
(pages 8 - 24 inclusive)
-- Audited annual non-consolidated financial statements of
Heathrow Express for the financial year ended 31 December 2019
(pages 11 - 29 inclusive)
-- Audited annual non-consolidated financial statements of
Heathrow Express for the financial year ended 31 December 2020
(pages 12 - 32 inclusive)
-- Common Terms Agreement dated 18 August 2008 as amended on 28
February 2019, 28 January 2020 and 5 January 2021 between, among
others, the Obligors, the Issuer and the Borrower Security Trustee
(all pages).
-- Security Trust and Intercreditor Deed dated 18 August 2008 as
amended and restated on 9 January 2012 between, among others, the
Borrower Security Trustee, the Obligors and the Bond Trustee (all
pages)
-- Security Agreement dated 18 August 2008 between, among
others, the Obligors and the Borrower Security Trustee (all
pages)
-- Obligor Floating Charge Agreement dated 18 August 2008
between the Issuer, the Borrower Security Trustee, the Bond Trustee
and the Obligors (all pages)
-- Bond Trust Deed dated 18 August 2008 as supplemented on 13
January 2012, 18 October 2013, 15 December 2014, 22 January 2016,
26 June 2017 and 8 August 2018 between, among others, the Issuer
and the Bond Trustee (all pages)
-- Master Definitions Agreement dated 18 August 2008 as amended
on 13 January 2012 and 28 February 2019 between, among others, the
Obligors, the Issuer, the Bond Trustee and the Borrower Security
Trustee (all pages)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 14 July 2008 relating to the Issuer's
multicurrency programme for the issuance of Bonds, as amended
(pages 310 to 349 inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 20 November 2009 relating to the Issuer's
multicurrency programme for the issuance of Bonds, as amended
(pages 82 to 120 inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 18 March 2011 relating to the Issuer's
multicurrency programme for the issuance of Bonds (pages 64 to 97
inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 16 June 2011 relating to the Issuer's
multicurrency programme for the issuance of Bonds, as amended
(pages 73 to 106 inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 14 June 2012 relating to the Issuer's
multicurrency programme for the issuance of Bonds (pages 70 to 103
inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 16 October 2013 relating to the Issuer's
multicurrency programme for the issuance of Bonds (pages 69 to 107
inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 16 December 2014 relating to the Issuer's
multicurrency programme for the issuance of Bonds (pages 69 to 109
inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 22 January 2016 relating to the Issuer's
multicurrency programme for the issuance of Bonds (pages 73 to 111
inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 26 June 2017 relating to the Issuer's
multicurrency programme for the issuance of Bonds (pages 79 to 120
inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 10 August 2018 relating to the Issuer's
multicurrency programme for the issuance of Bonds (pages 81 to 125
inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 19 July 2019 relating to the Issuer's
multicurrency programme for the issuance of Bonds (pages 91 to 135
inclusive)
-- The terms and conditions of the Bonds as set out in the base
prospectus dated 24 September 2020 relating to the Issuer's
multicurrency programme for the issuance of Bonds (pages 84 to 128
inclusive)
Terms not defined herein shall have the meaning given to them in
the Prospectus.
To view these documents, please paste the relevant URL as set
out below into the address bar of your browser.
http://www.rns-pdf.londonstockexchange.com/rns/9572N_1-2021-10-4.pdf
Alternatively these documents are available electronically and
free of charge at Heathrow Funding Limited's special purpose
website at:
https://www.heathrow.com/company/investor-centre/offering_related-documents/heathrow-funding-ltd
For further information please contact Timothy Allen, Head of
Debt Investor Relations and Corporate Finance +44 (0)7568
604873
Important Information
This announcement does not contain or constitute an offer to
sell or issue or a solicitation of an offer to buy or subscribe
for, securities to any person in Australia, Canada, Japan or the
United States or in any jurisdiction in which such offer or
solicitation is unlawful prior to registration or qualification
under the relevant securities laws of any such jurisdiction and is
not intended to provide the basis for any credit or other
evaluation of the securities.
The notes may not be offered or sold in the United States or to,
or for the account or benefit of U.S. Persons (as defined in
Regulation S under the Securities Act) absent registration or
exemption from registration under the U.S. Securities Act of 1933,
as amended (the "Securities Act"). In particular, the notes have
not been, and will not be, registered under the Securities Act, and
may not be offered, sold, resold, transferred, delivered or
distributed, directly or indirectly directly or indirectly within
the United States except pursuant to an exemption from, or in a
transaction not subject to, the registration requirements of the
Securities Act and applicable state or local securities laws.
Unless an exemption under the relevant securities laws is
applicable, the notes may not be offered, sold, resold,
transferred, delivered or distributed, directly or indirectly, in
or into Australia, Canada, or Japan, or to, or for the account or
benefit of, any national, resident or citizen of Australia, Canada,
or Japan, or any other jurisdiction if to do so would breach any
applicable law, or require registration thereof in such
jurisdiction. No public offering of the notes is being made in the
United States. In addition, any relevant securities registration or
other clearances under the applicable securities laws have not been
and will not be made or obtained with or from the relevant
authorities in Australia, Canada, Japan or any other jurisdiction
except the United Kingdom.
This communication is not being distributed to or directed at
persons other than persons whose ordinary activities involve them
in acquiring, holding, managing or disposing of investments (as
principal or agent) for the purposes of their businesses or who it
is reasonable to expect will acquire, hold, manage or dispose of
investments (as principal or agent) for the purposes of their
businesses where the issue of the notes would otherwise constitute
a contravention of section 19 of the Financial Services and Markets
Act 2000 ("FSMA") by us. In addition, no person may communicate or
cause to be communicated any invitation or inducement to engage in
investment activity (within the meaning of section 21 of FSMA)
received by it in connection with the issue or sale of the notes
other than in circumstances in which section 21(1) of FSMA does not
apply to us.
, the news service of the London Stock Exchange. RNS is approved by
the Financial Conduct Authority to act as a Primary Information
Provider in the United Kingdom. Terms and conditions relating to
the use and distribution of this information may apply. For further
information, please contact rns@lseg.com or visit www.rns.com.
RNS may use your IP address to confirm compliance with the terms
and conditions, to analyse how you engage with the information
contained in this communication, and to share such analysis on an
anonymised basis with others as part of our commercial services.
For further information about how RNS and the London Stock Exchange
use the personal data you provide us, please see our Privacy
Policy.
END
PDIFSEFLLEFSELS
(END) Dow Jones Newswires
October 04, 2021 10:45 ET (14:45 GMT)
Heathrow Fin 25 (LSE:10FX)
過去 株価チャート
から 12 2024 まで 1 2025
Heathrow Fin 25 (LSE:10FX)
過去 株価チャート
から 1 2024 まで 1 2025