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MedservRegis Plc

Capital/Financing Update Oct 13, 2022

2071_rns_2022-10-13_f8c466b0-d24e-4318-ba35-bb0b57db45c4.pdf

Capital/Financing Update

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COMPANY ANNOUNCEMENT MEDSERVREGIS P.L.C. (THE "COMPANY")

BOND PARTIAL REDEMPTION

Date of Announcement 13
October 2022
Reference 273/2022
Capital Market
Rule
CMR5.16

Quote

The Company makes reference to the announcement issued on the 30 August 2022 (ref: 271/2022) pursuant to which it was announced that on the 30 September 2022, the Company shall effect a pro-rata early redemption payment of approximately €7 million (subject to rounding) to the holders of the €20 million Secured and Guaranteed Notes bearing ISIN MT0000311218 (the Notes).

The Company is pleased to announce that an amount of €6,999,400 worth of Notes were redeemed and accordingly, the outstanding amount of the Notes in issue is €13,000,600. The appropriate entry has been made in the electronic register of the Notes maintained by the Central Securities Depositary of the Malta Stock Exchange.

As announced, the Company intends to redeem the remaining outstanding Notes within the coming months from the proceeds of a new bond issue, details of which shall be announced in due course.

Unquote

Laragh Cassar Company Secretary

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