National Storage Mechanism | Additional information
RNS Number : 4272U
Virgin Money UK PLC
11 August 2025
 

 

Virgin Money UK PLC

("Issuer")

LEI: 213800ZK9VGCYYR6O495

11 August 2025

NOTICE TO NOTEHOLDERS

£475,000,000 5.125 per cent. Fixed Rate Reset Callable Tier 2 Capital Notes due 2030 (the "Notes") issued under the £10,000,000,000 Global Medium Term Note Programme of the Issuer and Clydesdale Bank

 

ISIN: XS2227898421

COMMON CODE: 222789842

 

NOTICE IS HEREBY GIVEN TO THE HOLDERS OF THE NOTES:

(a)          the London Stock Exchange plc (the "Exchange") has been informed by the Issuer that the Issuer will fully redeem all of the outstanding Notes on 11 September 2025 (the "Optional Redemption Date"), pursuant to Condition 9(b) (Redemption at the option of the Issuer) of the Notes;

(b)          written request has been made to the Financial Conduct Authority (the "FCA") to cancel the listing of the Notes on the Official List maintained by the FCA with effect from the Optional Redemption Date; and

(c)           the Exchange has been requested to cancel the admission of the Notes to trading on the Exchange with effect from the Optional Redemption Date.

Unless otherwise defined in this notice, all terms used in this notice are as defined in the terms and conditions of the Notes.

Enquiries:

Investors and Analysts

 

Richard Smith

07483 399303

Head of FP&A and Capital Management

richard.smith@virginmoney.com

 

 

Company Secretary

 

Jason Wright

07557 245645

Company Secretary

jason.wright2@nationwide.co.uk

 

 

Media Relations

 

Press Office

0800 066 5998


press.office@virginmoney.com

 

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