Aug 26 (Reuters) – Following are terms and conditions of a bond to be issued on August 31, 2010
Borrower SP Powerassets Ltd
Form of debt Fixed Rate Bond,MTN
Issue Amount S$100 million
Coupon 3.06% pa semi-annual
Issue Date August 31, 2010
Maturity Date August 31, 2022
Coupon Payment Date February 28 and August 31
Commencing on 28 February 2011
Denominations S$250,000
Lead Managers HSBC
For ratings information, double click on RRS0001
For all bonds data, double click on BONDS
For Top international bonds news [TOP/EUB]
For news about this issuer, double click on the issuer RIC,
where assigned, and hit F9 on Reuters terminals.
Data supplied by International Insider.
