Email ThisPrint This News

(I) Refinancing Of RCS Trust's Borrowings; (II) Redemption of US$645 Million Class A secured Floating Rate Notes Due 2018 (The "Series 002 Notes") Issued By Silver Oak Ltd. ("Silver Oak") Under the S$10 Billion Multicurrency Secured Medium Term Note Programme (The "Silver Oak MTN Programme"); And (III) Termination Of The Silver Oak MTN Programme

BackJun 22, 2016
Announcement Title General Announcement
Announcement Subtitle Refinancing-RCS Trust Borrowings, Redemption-US$645m Notes, Termination-Silver Oak MTN Programme
Securities CAPITALAND COMMERCIAL TRUST (CCT)
Date & Time of Broadcast Jun 22, 2016 18:34
Submitted By Toh Su Jin Jason
Company Secretary, CapitaLand Commercial Trust Management Limited
Description The attached joint announcement issued by CapitaLand Commercial Trust Management Limited and CapitaLand Mall Trust Management Limited for CapitaLand Commercial Trust and CapitaLand Mall Trust, respectively, on the above matter, is for information.

Attachments

  1. Attachment 1 (Size: 100,652 bytes)