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Paragon Group of Companies plc


Offer Details

Issuer Name

Paragon Group of Companies plc

Expected first date of unconditional trading

30 January 2014

Books open

Now

Books close

27 January 2014 (expected)

Market

ORB

Coupon type

Fixed

Coupon %

6.125%

Coupon frequency

Semi-annual (July/January)

Maturity

30 January 2022

Minimum subscription in the primary market*

£2000

Unit of quotation in the secondary market**

£100

Status

Senior, Unsecured

ISIN

XS1018830270

Bookrunners

Canaccord Genuity Limited

* The primary market is where the bond(s) are sold for the first time. In the primary market, the bonds are issued by the company directly to investors through the authorised distributors.

** The secondary market is where investors buy and sell bond(s) from other investors (through your bank or stockbroker), as opposed to the issuing companies as in the primary market.

Authorised Distributors

Barclays Stockbrokers

Brown Shipley & Co

Canaccord Genuity Wealth

Interactive Investor

Killik & Co

Redmayne-Bentley LLP

Selftrade (Talos Securities Ltd)

Smith & Williamson

Retail Bond Documentation

Type

Download

Prospectus

(pdffile pdf - 994 KB)

Prospectus Supplement

(pdffile pdf - 55 KB)

Final Terms

(pdffile pdf - 215 KB)

Information booklet

(pdffile pdf - 1010 KB)

RNS announcement

http://www.londonstockexchange.com/exchange/news/market-news/market-news-detail.html?announcementId=11833417

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