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FINANCIERE QUICK - €145,000,000 UNSECURED FLOATING RATE NOTE DUE 2019 – Correction of Notice of Conditional Redemption

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CORRECTION OF NOTICE OF CONDITIONAL REDEMPTION OF APRIL 10, 2017

FINANCIÈRE QUICK S.A.S.

(the “Unsecured Notes Issuer”)

€145,000,000 Unsecured Floating Rate Notes due 2019 (the “Unsecured Notes”)

ISIN: XS1054087496 (Regulation S) and XS1054087223 (Rule 144A)

Common Code: 105408749 (Regulation S) and 105408722 (Rule 144A)

Redemption Date: May 10, 2017

We refer to the notice of conditional redemption of the Unsecured Notes delivered April 10,

2017 (the “Conditional Redemption Notice”), which is hereby corrected to state that the

Redemption Price (as defined therein) will be equal to 101.000% of the principal amount of the

Unsecured Notes, plus accrued and unpaid interest from April 18, 2017 (the last Interest Payment

Date for which interest on the Unsecured Notes was paid) to, but not including, the Redemption Date

(as defined therein), and Additional Amounts, if any.

Other than as indicated in the preceding paragraph, the terms of the Conditional Redemption

remain unchanged.

Terms used but not defined herein have the meanings ascribed to them in the Unsecured

Notes Indenture.

Any questions regarding this Conditional Redemption Notice should be directed to the

Unsecured Notes Issuer at:

Financière Quick S.A.S.

50 Avenue du President Wilson

Parc des Portes de Paris

Building 123

93214 La Plaine Saint-Denis

France

Issued by: Financière Quick S.A.S.

Dated: April 11, 2017

FINANCIERE QUICK - €145,000,000 UNSECURED FLOATING RATE NOTE DUE 2019 – Correction of Notice of Conditional Redemption (pdf, 18.34 KB)