NOTEHOLDER REPLY DOCUMENT
  • PART 1 - CUSTODIAN BANK OR BROKERAGE FIRM DETAILS (Note 1)

  • Aggregate Amount of Position(s)
    3.25 per cent US$300,000,000 Credit Enhanced Bonds due 2020 – ISIN XS1208533411
    3.8 per cent US$500,000,000 Guaranteed Notes due 2019 - ISIN XS1459405673
  • No. of Retail Client(s) (Note 2) No. of Institutional Client(s) (Note 3)
    3.25 per cent US$300,000,000 Credit Enhanced Bonds due 2020 – ISIN XS1208533411
    3.8 per cent US$500,000,000 Guaranteed Notes due 2019 - ISIN XS1459405673
  • Note 1: To be completed by member of Euroclear or Clearstream holding position

    Note 2: A Retail investor is an individual

    Note 3: An Institutional investor is bank, fund or other non-retail investor
  • PART 2 - PORTFOLIO MANAGER DETAILS

  • PART 3 - BENEFICIAL OWNER AND POSITION DETAILS

  • A retail investor is an individual, and an institutional investor is bank, fund, or other non-retail investor.
  • TEMPLATE DOWNLOAD
  • Please upload in file type limited to: xls, xlsx
  • Position 1

  • $
  • Position 2

  • $
  • Position 3

  • $
  • Position 4

  • $
  • Position 5

  • $