堗 WIND ACQUISITION FI7.00000 23/04/21 (XS1055940206)

02.11.2017

, , Π-ʻ Euroclear Bank N.A.: 廠 WIND ACQUISITION FI7.00000 23/04/21 (XS1055940206), , .*

--------------- EVENT DETAILS -------------------
UPDATE 01/11/2017: EARLY TENDER RESULTS
.
EUR 39,695,000IN AGGREGATE PRINCIPAL AMOUNT OFTHE 2019EURO
NOTES, USD 225,854,000IN AGGREGATE PRINCIPAL AMOUNT OFTHE 2020
DOLLAR NOTES, USD 1,070,109,000IN AGGREGATE PRINCIPAL AMOUNT OF
THE 2021DOLLAR NOTES, AND EUR 594,269,000IN AGGREGATE PRINCIPAL
AMOUNT OFTHE 2021EURO NOTES, VALIDLY TENDERED AND DIDNOT
VALIDLY WITHDRAW THEIR NOTES ATORPRIOR TOTHE EARLY TENDER
DEADLINE.
.
INFORMATION AGENT: LUCIDISSUER SERVICES LIMITED
.
THE DOCUMENTS ARE ONLY AVAILABLE FROM THE AGENT AT:
HTTPS://PORTAL.LUCID-IS.COM
.
NOTE:
.------
POSITIONS WILLREMAIN BLOCKED UNTILFURTHER NOTICE ORUNTILTHE
DEBIT OFPOSITIONS.
.
END OFUPDATE.
.------------------------------------------
INFORMATION SOURCE:
INFORMATION AGENT:
LUCIDISSUER SERVICES LIMITED
TANKERTON WORKS
12ARGYLE WALK
LONDON WC1H 8HA
UNITED KINGDOM
+44 (0)207704 0880
E-MAIL: WIND(AT)LUCID-IS.COM
ATTENTION: ARLIND BYTYQI/ YVES THEIS
.
GENERAL INFORMATION
.--------------------
THE PURPOSE OFTHE OFFER ISTOACQUIRE ANY AND ALLOF THE
OUTSTANDING NOTES.
.
IMPORTANT NOTE
.-------------
ON18/10/2017, THE COMPANY ISSUED AREDEMPTION NOTICE
SUBJECT TOSATISFACTION OFTHE CONDITIONS INTHE RELEVANT
REDEMPTION NOTICE, ALLNOTES NOT TENDERED INTHE OFFER WILLBE
REDEEMED ON17/11/2017WITH APPLICABLE REDEMPTION PRICE
.
1. TENDER AND CONSENT: NOT APPLICABLE.
.
2. CONDITIONS AND RESTRICTIONS:
CERTAIN RESTRICTIONS APPLY FOR THE FOLLOWING COUNTRIES:
UNITED KINGDOM, ITALY, FRANCE, BELGIUM, LUXEMBOURG
.
THESE RESTRICTIONS APPLY TOBENEFICIAL OWNERS.
.
THE OFFER ISSUBJECT TO, AMONG OTHER THINGS, THE FINANCING
CONDITIONS.
.
REFER TOTHE OFFER DOCUMENTATION FOR THE COMPLETE CONDITIONS AND
RESTRICTIONS OFTHIS OFFER.
.
TIMETABLE
.--------
. EXPECTED EARLY SETTLEMENT DATE: 03/11/2017
. EXPECTED LATE SETTLEMENT DATE: 16/11/2017
.
ENTITLEMENT
.----------
1. ACCRUED AND UNPAIDINTEREST: ACCRUED AND UNPAIDINTEREST WILL
BEPAIDUP TO, BUT NOT INCLUDING, THE SETTLEMENT DATE
.
2. THE TENDER OFFER ISNOT CONDITIONAL ONAMINIMUM AGGREGATE
AMOUNT OFSECURITIES BEING TENDERED.
.
3. TENDER CAP: NOTENDER CAP HAS BEEN SET.
.
4. PRORATION: NOT APPLICABLE
.
5. POOLFACTOR: NOT APPLICABLE
.
.
THIS CORPORATE ACTION NOTIFICATION DOES NOT CONSTITUTE ANOFFER
TOSELLOR THE SOLICITATION OFANOFFER TOBUY ANY SECURITIES BY
ANYONE INANY JURISDICTION.
ITISNOT, AND SHOULDNOT BECONSTRUED ORTREATED AS, INVESTMENT
ORFINANCIAL ADVICE. INPROVIDING THIS INFORMATION, EUROCLEAR
BANK ISNOT ACTING ASAGENT OFTHE ISSUER.
BYSENDING ANINSTRUCTION TOEUROCLEAR BANK, YOU CONFIRM THAT YOU
(AND ANY BENEFICIAL OWNER(S) FOR WHOM YOU ACT) COMPLY WITH THE
TERMS AND CONDITIONS OFTHE CORPORATE EVENT AND COMPLY WITH
APPLICABLE LOCAL LAWS ORREQUIREMENTS, INCLUDING BUT NOT LIMITED
TOHOLDING AND TRANSFER RESTRICTIONS.
IFHOLDING AND TRANSFER RESTRICTIONS WOULDPROHIBIT YOU (AND ANY
BENEFICIAL OWNER(S) FOR WHOM YOU ACT) TOHOLDTHE PROCEEDS OFA
CORPORATE EVENT INYOUR ACCOUNT INEUROCLEAR BANK, YOU (AND ANY
BENEFICIAL OWNER(S) FOR WHOM YOU ACT) MUST ENSURE TOSEND AN
INSTRUCTION TOALLOW THE TRANSFER OFTHESE PROCEEDS TOANACCOUNT
OUTSIDE THE EUROCLEAR SYSTEM.
.

*Π-ʻ , Euroclear Bank N.A.

Ġ ISIN
CA000000407453 XS1055940206 WIND ACQUISITION FI7.00000 23/04/21