TIDM84VF 
 
YORKSHIRE WATER SERVICES FINANCE LIMITED 
 
                                (the "Issuer") 
 
              £100,000,000 3.048 PER CENT GUARANTEED RETAIL PRICE 
                          INDEX-LINKED BONDS DUE 2033 
 
                 unconditionally and irrevocably guaranteed by 
 
                       YORKSHIRE WATER SERVICES LIMITED 
 
                             (ISIN: XS0163125502) 
 
                                 (the "Bonds") 
 
                             NOTICE OF REDEMPTION 
 
The Issuer hereby notifies the holders of the Bonds that it intends to redeem 
the Bonds on 16 March 2022 (the "Redemption Date") pursuant to Condition 6(c). 
 
The Bonds will be redeemed at the price determined in accordance with Condition 
6(c). The redemption price will be communicated to the holders of the Bonds in 
advance of the Redemption Date in accordance with Condition 6(c). 
 
This notice is irrevocable and shall oblige the Issuer to redeem the Bonds on 
the terms set out herein. 
 
Any enquiries to: 
 
YORKSHIRE WATER SERVICES FINANCE LIMITED 
Livingstone House 
Chadwick Street 
Leeds 
LS10 1LJ 
 
Attention: 
David Gregg, Head of Corporate Finance 
Email: debtIR@yorkshirewater.co.uk 
 
14 February 2022 
 
 
 
END 
 
 

(END) Dow Jones Newswires

February 14, 2022 09:30 ET (14:30 GMT)

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