Lehman Brothers UK Capital Funding IV LP: Notice of Interim Payment
€200,000,000
Euro Fixed Rate Enhanced Capital Advantaged Preferred Securities
XS0282978666Lehman Brothers UK Capital Funding V LP
US$500,000,000
Fixed Rate Enhanced Capital Advantaged Preferred Securities
XS030181352219 October 2020Notice of Interim PaymentReference is made to:(i) the €200,000,000 Euro Fixed Rate Enhanced Capital Advantaged Preferred Securities issued by Lehman Brothers UK Capital Funding IV LP (the “Issuer” or “LP IV”) with ISIN number XS0282978666; and(ii) US$500,000,000 Fixed Rate Enhanced Capital Advantaged Preferred Securities issued by Lehman Brothers UK Capital Funding V LP (the “Issuer” or “LP V“)) with ISIN number XS0301813522,hereinafter referred to as the “Securities“. Reference hereinafter to “the Issuers” is reference to LP IV and LP V.Interim Payment: an initial interim payment will be paid for value on 28 October 2020 relating to the Liquidation Preference in respect of the Securities to beneficial holders of the Securities as of 21 October 2020. The value of the distribution for LP IV and LP V is set out in the table below. This distribution represents a significant proportion of the total funds likely to be available for distribution. The balance of funds will be distributed when outstanding cost issues and allocations have been determined.Click on, or paste the following link into your web browser, to view the associated PDF document.
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