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Notice SAECURE 3 B.V.

SAECURE 3 B.V.

 

Class A Notes,     ISIN code XS0178551825,

Class B Notes,     ISIN code XS0178552047,

Class C Notes,     ISIN code XS0178552120,

 

together the “Notes”.

 

In accordance with the Terms and Conditions of the Notes, notice is hereby given that on the First Optional Redemption Date (i.e. 25 February 2011) the Notes will be redeemed in full, provided that the Issuer at this date has received the purchase price for the Mortgage Receivables in accordance with a letter from the Seller confirming agreement to conclude the sale and assignment on or before such date. Last day of trading will be 21 February 2011 .

 

Amsterdam, 21 January 2011

 

ATC Management B.V.

Director

 

Fred. Roeskestraat 123

1076 EE Amsterdam

 

First Optional Redemption Date
Private Wealth Services