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CIF Capital Markets Mechanism plc published Final Terms on 22 January 2025, dated 17 January 2025. These Final Terms relate to the issue of Series 1 USD 500,000,000 4.750 per cent. Notes due 22 January 2028, under its Debt Issuance Programme.
| Date | 22 Jan 2025 |
| Time | 16:09:01 |
| Category | Capital structure |
| ID | 3405U |
22 January 2025
CIF Capital Markets Mechanism plc - Publication of Final Terms
The following Final Terms dated 17 January 2025 under the CIF Capital Markets Mechanism plc Debt Issuance Programme are available for viewing:
Issue of Series 1 USD 500,000,000 4.750 per cent. Notes due 22 January 2028
To view the Final Terms, please paste the following URL into the address bar of your browser:
http://www.rns-pdf.londonstockexchange.com/rns/3405U_1-2025-1-22.pdf
A copy of the Final Terms has been submitted to the National Storage Mechanism and will shortly be available for inspection at: https://data.fca.org.uk/#/nsm/nationalstoragemechanism
For further information, please contact:
CIF Capital Markets Mechanism Plc
8th Floor
100 Bishopsgate Street
London
EC2N 4AG
United Kingdom
DISCLAIMER - INTENDED ADDRESSEES
Please note that the information contained in the Final Terms and the related Information Memorandum may be addressed to and/or targeted at persons who are residents of particular countries (specified in the Information Memorandum) only and is not intended for use and should not be relied upon by any person outside these countries and/or to whom the offer contained in the Final Terms is not addressed. Prior to relying on the information contained in the Final Terms you must ascertain whether or not you are part of the intended addressees of the information contained therein.
Your right to access this service is conditional upon complying with the above requirement.