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Bancolombia S.A. Announces Expiration and Final Tender Results for Its Tender Offers for Any and All of Bancolombia S.A.'s Outstanding 3.000% Senior Notes Due 2025, and Up to U.S. $400,000,000 of Bancolombia S.A.'s Outstanding 6.909% Subordinated...

Bancolombia S.A. Announces Expiration and Final Tender Results for Its Tender Offers for Any and All of Bancolombia S.A.'s Outstanding 3.000% Senior Notes Due 2025, and Up to U.S. $400,000,000 of Bancolombia S.A.'s Outstanding 6.909% Subordinated...

哥伦比亚银行宣布截止日期和最终要约结果,以收购其所有未偿还到期日为2025年的3.000%优先票据,以及哥伦比亚银行未偿还的6.909%次级票据总额高达4亿美元。
PR Newswire ·  07/02 18:49

Bancolombia S.A. Announces Expiration and Final Tender Results for Its Tender Offers for Any and All of Bancolombia S.A.'s Outstanding 3.000% Senior Notes Due 2025, and Up to U.S. $400,000,000 of Bancolombia S.A.'s Outstanding 6.909% Subordinated Notes Due 2027

哥伦比亚银行宣布截止日期和最终要约结果,用于购买Bancolombia S.A.未偿还的截至2025年到期的3.000%的优先票据,以及不超过4亿美元Bancolombia S.A.未偿还的到期2027年6.909%的次级票据。

MEDELLÍN, Colombia, July 2, 2024 /PRNewswire/ -- Today, Bancolombia S.A. (the "Issuer") announced the expiration and final tender results of its previously announced offers by the Issuer to purchase for cash any and all of the Issuer's outstanding 3.000% Senior Notes due 2025 (the "2025 Notes") (the "2025 Offer") and up to U.S. $400,000,000 of the Issuer's outstanding 6.909% Subordinated Notes due 2027 (the "2027 Notes" and collectively with the 2025 Notes the "Notes") (the "2027 Offer" and together with the 2025 Offer, the "Offers"). The Offers are subject to the terms and conditions as described in the offer to purchase dated June 3, 2024 (the "Offer to Purchase").

哥伦比亚麦德林,2024年7月2日/ PRNewswire / ——今天,Bancolombia S.A.( “发行人”)宣布其先前公布的收购要约的有效期限和最终结果,收购对象是发行人出售的截至2025年到期的3.000%的高级票据(“ 2025 Notes ”)(“ 2025 Offer ” )以及不超过4亿美元发行人未偿还的到期2027年6.909%的次级票据(“ 2027 Notes ”,连同2025 Notes一起为“ Notes ”)(“ 2027 Offer ”与2025 Offer一起称为“ 要约 ”)。该要约受要约收购文件中于2024年6月3日的条款和条件的约束(“ 要约收购文件 ”)。

On June 24, 2024, the Issuer purchased U.S.$267,421,000 aggregate principal amount of the 2025 Notes and U.S.$283,632,000 aggregate principal amount of the 2027 Notes that were validly tendered and not validly withdrawn as of 5:00 p.m., New York City time, on June 14, 2024 (the "Early Tender Date"). The Issuer has accepted for purchase an additional U.S.$2,013,000 aggregate principal amount of the 2025 Notes and an additional U.S.$4,661,000 aggregate principal amount of the 2027 Notes that were validly tendered and not validly withdrawn following the Early Tender Date and on or prior to 5:00 p.m., New York City time, on July 2, 2024 (the "Expiration Date"). The tenders for the 2025 Notes represented approximately 55.90% of the outstanding 2025 Notes and the tenders for the 2027 Notes represented approximately 38.44% of the outstanding 2027 Notes.

2024年6月24日,发行人购买了有效认购未被有效撤回的2,025 Notes的总本金的267,421,000美元和未偿还的到期6.909%的优先票据的总本金的283,632,000美元。发行人已接受购买额外的2,025笔票据,包括a额外的2,025千美元的票据和2027票据的4,661千美元的票据,后者在“ 提前认购日期”之后但在2024年7月2日纽约时间上午5:00或之前未被有效撤回。2025票标的招标代表了约55.90%的未偿还2025票,而2027票标的招标则代表了约38.44%的未偿还2027票。

2025 Holders that validly tendered after the Early Tender Date and prior to the Expiration Date, and whose 2025 Notes are accepted for purchase, will be entitled to receive total consideration of U.S.$936.46 for each U.S.$1,000 principal amount of the 2025 Notes, plus accrued and unpaid interest in respect of their purchased 2025 Notes from the last interest payment date to, but not including, the Final Settlement Date.

在时间上最终认购日期之后、认购被接受的2025 Note的持有人将有权获得US $936.46的总体考虑(每US $1,000的2025 Note的本金),以及自最后利息支付日期起至最终结算日之前其已购买的2025 Note的应计且未清偿的利息。

2027 Holders that validly tendered after the Early Tender Date and prior to the Expiration Date, and whose 2027 Notes are accepted for purchase, will be entitled to receive total consideration of U.S.$950.00 for each U.S.$1,000 principal amount of the 2027 Notes, plus accrued and unpaid interest in respect of their purchased 2027 Notes from the last interest payment date to, but not including, the Final Settlement Date.

最后认购日期之后、认购被接受的2027 Note的持有人将有权获得每US $1,000本金2027 Note的总体考虑为US $950.00,以及自最后利息支付日期起至最终结算日之前其已购买的2027 Note的应计且未清偿的利息。

BofA Securities, Inc., Citigroup Global Markets Inc. and J.P. Morgan Securities LLC acted as the dealer managers for the Offers. Persons with questions regarding the Offers should contact BofA Securities, Inc. at (888) 292-0070 (toll-free) or (980) 387-3907 (collect), Citigroup Global Markets Inc. at (800) 558-3745 (toll-free) or (212) 723-6106 (collect), or J.P. Morgan Securities LLC at (866) 846-2874 (toll-free) or (212) 834-7279 (collect).

BofA Securities, Inc.,Citigroup Global Markets Inc。和J.P.Morgan Securities LLC是要约的经销商经理。 如有关于要约的问题,请联系BofA Securities,Inc.免费电话(888)292-0070或(980)387-3907(收费),或Citigroup Global Markets Inc.免费电话(800)558-3745或(212)723-6106(收费),或J.P.Morgan Securities LLC免费电话(866)846-2874或(212)834-7279(收费)。

This press release is for informational purposes only and is not a recommendation, an offer to purchase, or a solicitation of an offer to sell with respect to any securities.

本新闻稿仅供参考,不构成任何证券的推荐、收购要约或出售要约。

Forward-Looking Statements

前瞻性声明

This release and the Offer to Purchase contain statements which may constitute "forward-looking statements." These forward-looking statements are not based on historical facts, but instead represent only our belief regarding future events, many of which, by their nature, are inherently uncertain and outside our control. Words such as "anticipate," "believe," "estimate," "approximate," "expect," "may," "intend," "plan," "predict," "target," "forecast," "guideline," "should," "project" and similar words and expressions are intended to identify forward-looking statements. It is possible that our actual results may differ, possibly materially, from the anticipated results indicated in these forward-looking statements. Forward-looking statements speak only as of the date they were made, and we undertake no obligation to update publicly or revise any forward-looking statements after the date on which they are made in light of new information, future events and other factors.

本发布及要约收购文件包含可能构成“前瞻性陈述”的声明。这些前瞻性陈述不是基于历史事实,而只代表我们对未来事件的信仰,其中许多事件性质天然是不确定和超出我们的控制的。这样的前瞻性陈述只是为了说明我们的基本预期或信念,其中包括表示一项或多项计划、投资或可能的未来性业务。这导致实际结果可能与这些前瞻性陈述中预期的结果发生差异,可能重大。前瞻性陈述仅在其发表时准确。因此,我们不会更新公开发布或修订任何前瞻性陈述,以反映新信息、未来事件或其他因素。

About the Issuer

哥伦比亚银行是一家全服务金融机构,为超过3100万客户提供各种银行产品和服务。

Bancolombia S.A. is a full-service financial institution that offers a wide range of banking products and services to a diversified individual and corporate customer base of over 31 million customers.

Bancolombia S.A.是一家全能金融机构,为超过3100万个人和企业客户提供各种银行产品和服务。

SOURCE Bancolombia S.A.

哥伦比亚银行

声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
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