DEXION ABSOLUTE LIMITED (IN VOLUNTARY
LIQUIDATION) (THE “COMPANY”)
Final distribution announcement
2015 Redemption Portfolio – USD Class
Shares and EUR Class Shares
As all assets have now been realised and the liquidation is
substantially complete, the Liquidator announces the intention to
make a final distribution (the “Final Distribution”) in respect of
the 2015 Redemption Portfolio USD and EUR Share Classes of:
USD $0.19928 per ordinary USD share issued
EUR €0.11511 per ordinary EUR share
issued.
The Final Distribution will be effected pro rata to the holdings
of ordinary USD shares and EUR shares on the register at the close
of business on 18 December 2020 (the
“Record Date”).
The Final Distribution will be paid by way of USD cheques and
EUR cheques drawn upon a UK clearing bank posted on day
31 December 2020 to the shareholder’s
registered address as at the Record Date.
Note there will be no distribution in respect to the 2015
Redemption Portfolio GBP Class Shares as the final distribution was
paid in 2017
Enquiries:
The Liquidator
Linda Johnson
Glategny Court
Glategny Esplanade
St Peter Port
Guernsey
GY1 1WR
Tel: 01481 721 000
restructuring-ci@kpmg.com