Proposed Firm Placing -6-
December 13 2011 - 2:02AM
UK Regulatory
be offered to Qualifying
Shareholders pursuant to the Open Offer
"Ordinary Shares" ordinary shares of one pence each in the
capital of the Company
"Overseas Shareholders" Shareholders with registered addresses
outside the United Kingdom or who are
citizens or residents of countries outside
the United Kingdom
"Panmure Gordon" Panmure Gordon (UK) Limited
"Placing" the conditional placing by Panmure Gordon
on behalf of Lonrho of Conditional Placing
Shares at the Issue Price pursuant to
the Placing Agreement
"Placing Agreement" the placing and underwriting agreement
dated 13 December 2011 between the Company
and Panmure Gordon relating to the (i)
Placing and Open Offer; and (ii) the Firm
Placing, and as further described in the
Prospectus
"Prohibited Territories" Canada, Australia, Japan, the Republic
of South Africa and the
United States
"Prospectus" The prospectus expected to be dated 13
December 2011 published by the Company
relating to the Capital Raising
"Prospectus Rules" the rules made for the purpose of Part
VI of FSMA in relation to the offers of
transferable securities to the public
and admission of transferable securities
to trading on a regulated market and brought
into effect on 1 July 2005 pursuant to
Commission Regulation (EC) no. 809/2004
"QIB" qualified institutional buyer, as that
term is defined in Rule 144A
under the US Securities Act
"Qualifying CREST Shareholders" Qualifying Shareholders holding Ordinary
Shares in uncertificated form in CREST
at close of business on the Record Date
"Qualifying Non-CREST Qualifying Shareholders holding Ordinary
Shareholders" Shares in certificated form at close of
business on the Record Date
"Qualifying Shareholders" holders of Ordinary Shares on the register
of members of Lonrho at the Record Date
with the exclusion (subject to exceptions)
of Overseas Shareholders with a registered
address or resident in any Prohibited
Territories
"Record Date" close of business on 9 December 2011
"Shareholder" a holder of Ordinary Shares
"UK" or "United Kingdom" the United Kingdom of Great Britain and
Northern Ireland
"UKLA" or "UK Listing the Financial Services Authority, acting
Authority" in its capacity as the competent authority
for the purposes of Part VI of FSMA
"US" or "United States" the United States of America, its territories
and possessions, any State of the United
States, the District of Columbia and all
other areas subject to its jurisdiction
"US Securities Act" the United States Securities Act of 1933,
as amended
This information is provided by RNS
The company news service from the London Stock Exchange
END
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