ルクセンブルク証券取引所における開示に関するお知らせ
当社はこのたび、既発の当社2013年満期ユーロ建普通社債につき、要項の定めるところに従い早期償還を行なうこととし、これを上場取引所であるルクセンブルク証券取引所にて開示いたしましたので、別紙のとおりお知らせします。
ご参考
ソフトバンク株式会社2013年満期ユーロ建普通社債
スワイプで横にスライドできます
1. 発行総額 | 500百万ユーロ |
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2. 発行日 | 2006年10月12日 |
3. 当初償還日 | 2013年10月15日 |
4. 早期償還日 | 2010年10月15日(予定) |
5. 早期償還プレミアム | 3.875% |
6. 利率 | 年7.75% |
7. 残存額 | 352.55百万ユーロ(約472億円※) |
8. 担保の有無 | なし |
9. 取得格付 | BB+ スタンダード&プアーズ Ba2 ムーディーズ・インベスターズ・サービス |
10. 主幹事 | Deutsche Bank AG, London Branch |
11. 上場取引所 | ルクセンブルク証券取引所 |
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平成23年3月期第1四半期連結会計期間末の残高は約472億円です。
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以上
別紙
NOTICE OF REDEMPTION TO THE HOLDERS OF
7¾% SENIOR NOTES DUE 2013
issued by
SOFTBANK CORP.
ISIN: XS0270175762* Common Code: 027017576*
Notice is hereby given to the holders (“Holders”) of the 7¾% Senior Notes due 2013 (the “Notes”) of SOFTBANK CORP. (the “Company“) that the Company has elected to, and shall, redeem all of the outstanding Notes on October 15, 2010 (the “Redemption Date”) as permitted under Section 7 of the Notes and Section 3.1 of that certain indenture (the “Indenture”), dated as of October 12, 2006, among the Company, as issuer, Deutsche Trustee Company Limited, as trustee, Deutsche Bank AG, London Branch, as principal paying agent and transfer agent (the “Principal Paying Agent”), and Deutsche Bank Luxembourg, S.A., as registrar, Luxembourg paying agent and transfer agent (the “Luxembourg Paying Agent”).
The Notes shall be redeemed at a redemption price (the “Redemption Price”) of 103.875% of the principal amount thereof (i.e., €1,038.75 for each €1,000 principal amount of Notes). All accrued and unpaid interest on the Notes up to the Redemption Date shall also be paid (i.e., €38.75 for each €1,000 principal amount of Notes).
Notes called for redemption must be presented and surrendered to either the Principal Paying Agent or the Luxembourg Paying Agent in order for the Holders to collect the Redemption Price, plus accrued and unpaid interest.
Unless the Company defaults in paying the Redemption Price, the interest on the Notes will cease to accrue on and after the Redemption Date, and the only remaining right of the Holders will be to receive payment of the Redemption Price, plus any accrued and unpaid interest up to the Redemption Date, upon surrender of the Notes redeemed to either the Principal Paying Agent or the Luxembourg Paying Agent.
To collect the Redemption Price, the Notes must be presented and surrendered for redemption at the office of either the Principal Paying Agent or the Luxembourg Paying Agent, shown below, at any time on or after the Redemption Date:
Principal Paying Agent's office:
Deutsche Bank AG, London Branch
Winchester House
1 Great Winchester Street
London EC2N 2DB
England
Attention: Managing Director
Fax: +44 (0)20 7547 6149
Luxembourg Paying Agent's office:
Deutsche Bank Luxembourg, S.A.
2 Boulevard Konrad Adenauer
L-1115 Luxembourg
Attention: Coupon Paying Department
Fax: +352 473 136
All questions should be directed to either the Principal Paying Agent or the Luxembourg Paying Agent at the addresses listed above.
SOFTBANK CORP.
Tokyo Shiodome Building
1-9-1 Higashi-Shimbashi
Minato-ku, Tokyo 105-7303
Japan
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The ISIN number and Common Code number provided above are included solely for the convenience of the Holders. The Company is not responsible for the use or selection of such numbers, nor is any representation made as to the correctness or accuracy of such numbers, if any, printed on the Notes, or as listed in this notice of redemption.
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