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BNP Paribas Net Asset Value 2021

Apr 1, 2021

1158_rns_2021-04-01_9c8fedad-73c6-4351-9e2b-ca51514ec7bd.html

Net Asset Value

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National Storage Mechanism | Additional information

1 April 2021

Not for distribution, directly or indirectly, in or into the United States or any jurisdiction in which such distribution would be unlawful.

Casino Guuchard-Perrachon SA

Mid-stabilisation Period Announcement

[Further to the pre-stabilisation period announcement dated 30 March 2021 BNP Paribas (contact: Stanford Hartman telephone: 0207 595 8222) hereby gives notice that the Stabilisation Manager(s) named below undertook stabilisation (within the meaning of [Article 3.2(d) of the Market Abuse Regulation (EU/596/2014) / [and of] the rules of the Financial Conduct Authority)] in relation to the offer of the following securities, as set out below.

Securities

Issuer: Casino Guuchard-Perrachon SA
Guarantor (if any): [insert name]
Aggregate nominal amount: EUR 525,000,000
Description: 5.25% Notes due 15 April 2027
Stabilisation Manager(s): Global Glo co BKR   BNPP/JPM

Joint BKR                   Cacib/HSBC

Bkrun                        Citi/CS/GS/Natixis/Sanander

Stabilisation transaction[s]

Time of transaction Notional Price Venue
31/03/2021 08:17 1,000,000.00 100.125 OTC
31/03/2021 07:53 500,000.00 100.25 OTC
31/03/2021 07:55 1,000,000.00 100.275 OTC
31/03/2021 08:13 1,800,000.00 100.15 OTC
31/03/2021 07:49 500,000.00 100.25 OTC
31/03/2021 07:07 2,000,000.00 100.25 OTC
31/03/2021 07:24 1,000,000.00 100 OTC
31/03/2021 09:11 1,000,000.00 100.05 OTC
31/03/2021 08:13 100,000.00 100.1 OTC
31/03/2021 09:08 1,900,000.00 100.05 OTC
31/03/2021 08:56 400,000.00 100.05 OTC
31/03/2021 07:50 2,000,000.00 100.25 OTC
31/03/2021 13:07 100,000.00 100.1 OTC
31/03/2021 11:41 3,000,000.00 100.14 OTC
31/03/2021 13:33 2,000,000.00 100.125 OTC
31/03/2021 15:01 2,000,000.00 100.25 OTC
01/04/2021 12:01 4,000,000.00 100.5 OTC
01/04/2021 09:24 1,000,000.00 100.15 OTC

This announcement is for information purposes only and does not constitute an invitation or offer to underwrite, subscribe for or otherwise acquire or dispose of any securities of the Issuer in any jurisdiction.

This announcement and the offer of the securities to which it relates are only addressed to and directed at persons outside the United Kingdom and persons in the United Kingdom who have professional experience in matters related to investments or who are high net worth persons within Article 12(5) of the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005 and must not be acted on or relied on by other persons in the United Kingdom.

In addition, if and to the extent that this announcement is communicated in, or the offer of the securities to which it relates is made in, the UK or any EEA Member State before the publication of a prospectus in relation to the securities which has been approved by the competent authority in the UK or that Member State in accordance with Regulation (EU) 2017/1129 (the “Prospectus  Regulation”) (or which has been approved by a competent authority in another Member State and notified to the competent authority in the UK or that Member State in accordance with the Prospectus Regulation), this announcement and the offer are only addressed to and directed at persons in the UK or that Member State who are qualified investors within the meaning of the Prospectus Regulation (or who are other persons to whom the offer may lawfully be addressed) and must not be acted on or relied on by other persons in the UK or that Member State.

This announcement is not an offer of securities for sale into the United States. The securities referred to above have not been, and will not be, registered under the United States Securities Act of 1933 and may not be offered or sold in the United States absent registration or an exemption from registration. There has not been and will not be a public offer of the securities in the United States.