Published: July 29, 2019
ISIN | CUSIP | |
Rule 144A | US03969AAJ97 | 03969A AJ9 |
Regulation S | USG04586AK28 | G04586 AK2 |
Ardagh Packaging Finance plc and Ardagh Holdings USA Inc. (the “Issuers”) give notice to the holders of the 7.250% Senior Notes due 2024 issued on May 16, 2016 (the “Notes”) of conditional redemption of the Notes in full in accordance with paragraph 6(c) thereof and Article 3 of the indenture dated as of May 16, 2016 (as amended and supplemented, the “Indenture”) between, among others, the Issuers, Citibank, N.A., London Branch, as trustee, principal paying agent and transfer agent (the “Trustee”), Citibank, N.A., as U.S. paying agent and Citigroup Global Markets Deutschland AG, as registrar. All capitalized terms used herein not defined shall have the meanings assigned to such terms in the Indenture.
The redemption will be subject to the condition that the Issuer has received the necessary funds to redeem the Notes on or prior to the Redemption Date (the “Condition”). The Issuers may, in their sole discretion, delay the redemption until such time as the Condition is satisfied. The Issuer shall provide notice to the Trustee and the Paying Agents no later than 12:00pm London time on the Redemption Date as to whether the Condition has been satisfied. The terms and conditions of the redemption are as follows: