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British Land Co PLC

Net Asset Value Jun 29, 2017

5364_rns_2017-06-29_31b8c172-3aea-413d-b0b8-3e79b795f82d.html

Net Asset Value

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National Storage Mechanism | Additional information

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RNS Number : 6148J

British Land Co PLC

29 June 2017

NOTICE TO THE HOLDERS OF THE:

BRITISH LAND (WHITE) 2015 LIMITED (THE "ISSUER") £350,000,000 ZERO COUPON GUARANTEED CONVERTIBLE BONDS DUE 2020 (THE "BONDS") GUARANTEED BY

THE BRITISH LAND COMPANY PLC (THE "GUARANTOR")

(ISIN: XS1242977889)

Pursuant to the terms and conditions of the Bonds (the "Conditions"), as set out in the Trust Deed dated 9 June 2015 between the Issuer, the Guarantor and Capita Trust Company Limited and constituting the Bonds, notice is hereby given to Bondholders that in connection with the Cash Dividend of 7.30 pence payable on 4 August 2017 to shareholders of record on 30 June 2017, the Calculation Agent has determined that the Exchange Price of the Bonds will be adjusted from £10.6379 per Ordinary Share to £10.5018 per Ordinary Share, and the Threshold Amount will be adjusted from 3.418 pence per Ordinary Share to 3.374 pence per Ordinary Share with effect from 29 June 2017.

Capitalised terms not otherwise defined herein shall have the meanings given to them in the Conditions.

Enquiries:

Investor Relations

Joanna Waddingham, British Land                                                    020 7467 2907

This information is provided by RNS

The company news service from the London Stock Exchange

END

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