London Wall Mortgage Capital PLC Series Fleet 2017-1 Early Redemption Notice (6757S)
15 July 2022 - 8:54PM
UK Regulatory
TIDM80TT
RNS Number : 6757S
London Wall Mortgage Capital PLC
15 July 2022
NOTICE OF EARLY REDEMPTION
London Wall Mortgage Capital plc
(Registered in England and Wales under number 10001337)
(the Issuer)
Series Fleet 2017--01 Class A Notes (ISIN XS1654186979)
Series Fleet 2017--01 Class B Notes (ISIN XS1654194486)
Series Fleet 2017--01 Class C Notes (ISIN XS1654195459)
Series Fleet 2017--01 Class Z Notes (ISIN XS1654196184) (the
Notes)
The Series Fleet 2017--01 Class S Notes (ISIN XS1654201950) have
already been fully redeemed.
Clause 1 (Standard Interpretation Provision) of the RMBS
Framework Terms, Edition 1, dated 1 November 2016 and signed by or
on behalf of Citibank, N.A., London Branch (as the Security
Trustee) for the purposes of identification (as the same may be
amended, varied or supplemented from time to time) in relation to
the Issuer's residential mortgage backed securities programme shall
apply to this notice as if set out in this paragraph and treating
this notice as the Principal Document.
NOTICE IS HEREBY GIVEN to each Holder of a Note that:
(a) all of the outstanding Notes will be redeemed by the Issuer
on 15 August 2022 (the Optional Redemption Date), pursuant to Base
Condition 6.4 (Full redemption at the option of the Issuer) of the
Note Conditions in respect of the Series Fleet 2017--01 Notes;
(b) the Series Fleet 2017--01 Notes will be redeemed at the Note
Principal Amount Outstanding of each of the Series Fleet 2017--01
Notes on the Optional Redemption Date plus all other accrued and
unpaid liabilities in respect of each of the Series Fleet 2017--01
Notes on the Optional Redemption Date (including all accrued
interest outstanding);
(c) payment of principal and interest in respect of each Note
will be made to the person shown as at the close of business on the
relevant Series Note Register Record Date as the Holder of such
Note in the Series Note Register in accordance with the payment
details held as at the close of business on the Series Note
Register Record Date by the Series Note Registrar in respect of
such person; and
(d) the Issuer (as seller) has entered into a Series Portfolio
Disposal Agreement dated 15 July 2022 with London Wall Capital
Investments LLP (as purchaser) in accordance with Clause 12.1(a)(1)
(Authorised disposals) of the Security Deed whereby, among other
things, London Wall Capital Investments LLP has agreed to purchase
the Series Portfolio in respect of Series Fleet 2017--01 to allow a
redemption of Notes by the Issuer pursuant to Base Condition 6.4
(Full redemption at the option of the Issuer) of the Note
Conditions in respect of the Series Fleet 2017--01 Notes.
London Wall Mortgage Capital plc
8th Floor
100 Bishopsgate
London EC2N 4AG
By: Citibank, N.A., London Branch
as Series Registrar
Dated 15 July 2022
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END
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