Source - LSE Regulatory
RNS Number : 1232I
NewDay Funding Master Issuer PLC
14 October 2024
 

Notice to noteholders

 

THIS NOTICE CONTAINS IMPORTANT INFORMATION OF INTEREST TO THE REGISTERED AND BENEFICIAL OWNERS OF THE NOTES (AS DEFINED BELOW). IF APPLICABLE, ALL DEPOSITARIES, CUSTODIANS AND OTHER INTERMEDIARIES RECEIVING THIS NOTICE ARE REQUESTED TO PASS THIS NOTICE TO SUCH BENEFICIAL OWNERS IN A TIMELY MANNER.

If you are in any doubt as to the action you should take, you are recommended to seek your own financial advice immediately from your stockbroker, bank manager, solicitor, accountant or other financial adviser authorised under the Financial Services and Markets Act 2000 (if you are in the United Kingdom), or from another appropriately authorised independent financial adviser and such other professional advice from your own professional advisers as you deem necessary.

This Notice is addressed only to current holders of the Notes (as defined below) and persons to whom it may otherwise be lawful to distribute it ("relevant persons"). It is directed only at relevant persons and must not be acted on or relied on by persons who are not relevant persons. Any investment or investment activity to which this Notice relates is available only to relevant persons and will be engaged in only with relevant persons.

If you have recently sold or otherwise transferred your entire holding(s) of Notes referred to below, you should immediately forward this document to the purchaser or transferee or to the stockbroker, bank or other agent through whom the sale or transfer was effected for transmission to the purchaser or transferee.

THIS NOTICE DOES NOT CONSTITUTE OR FORM PART OF, AND SHOULD NOT BE CONSTRUED AS, AN OFFER FOR SALE, EXCHANGE OR SUBSCRIPTION OF, OR A SOLICITATION OF ANY OFFER TO BUY, EXCHANGE OR SUBSCRIBE FOR, ANY SECURITIES OF THE ISSUER OR ANY OTHER ENTITY IN ANY JURISDICTION.

 



 

 

NEWDAY FUNDING MASTER ISSUER PLC

1 Bartholomew Lane

London EC2N 2AX

Registered number 11827115

 (the "Issuer")

 

 

RNS ANNOUNCEMENT IN RESPECT OF BACK-UP SERVICER

 

to current holders of the following notes of the Issuer

presently outstanding

 

£103,400,000 Class A1 Asset Backed Floating Rate Notes due 2024

(Reg S ISIN: XS2399701171 / Rule 144A ISIN: XS2399701254)

 

$100,000,000 Class A2 Asset Backed Floating Rate Notes due 2024

(Reg S ISIN: XS2399701338 / Rule 144A ISIN: US65120LAD38)

 

£24,850,000 Class B Asset Backed Floating Rate Notes due 2024

(Reg S ISIN: XS2399700280 / Rule 144A ISIN: XS2399700447)

 

£39,550,000 Class C Asset Backed Floating Rate Notes due 2024

(Reg S ISIN: XS2399700520 / Rule 144A ISIN: XS2399700793)

 

£49,700,000 Class D Asset Backed Floating Rate Notes due 2024

(Reg S ISIN: XS2399790927 / Rule 144A ISIN: XS2399791149)

 

£27,300,000 Class E Asset Backed Floating Rate Notes due 2024

(Reg S ISIN: XS2399805972 / Rule 144A ISIN: XS2399827604)

 

£8,400,000 Class F Asset Backed Floating Rate Notes due 2024

(Reg S ISIN: XS2399827943 / Rule 144A ISIN: XS2399973176)

 

(the "Series 2021-3 Notes")

 

£75,800,000 Class A1 Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2452635118 / Rule 144A ISIN: XS2452635209

 

$100,000,000 Class A2 Asset Backed Floating Rate Notes due 2025
Reg S 
ISIN: XS2452635381 / Rule 144A ISIN: US65120LAK70

 

£21,000,000 Class B Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2452635464 / Rule 144A ISIN: XS2452635621

 

£36,300,000 Class C Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2452635548 / Rule 144A ISIN: XS2452635894

 

£40,800,000 Class D Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2452635977 / Rule 144A ISIN: XS2452636199

 

£23,700,000 Class E Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2452636272 / Rule 144A ISIN: XS2452636355

 

£11,100,000 Class F Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2452636439 / Rule 144A ISIN: XS2452636512

 

(the "Series 2022-1 Notes")

 

£39,746,000 Class C Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2498643407 / Rule 144A ISIN: XS2498643589

 

£44,088,000 Class D Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2498643662 / Rule 144A ISIN: XS2498643829

 

£27,054,000 Class E Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2498644041 / Rule 144A ISIN: XS2498644124

 

£16,700,000 Class F Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2498644397 / Rule 144A ISIN: XS2498644470

 

(the "Series 2022-2 Notes")

 

£196,800,000 Class A Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2554843974 / Rule 144A ISIN: XS2554910591

 

£47,100,000 Class D Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2554845326 / Rule 144A ISIN: XS2554989678

 

£23,700,000 Class E Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2554847454 / Rule 144A ISIN: XS2554989918

 

£17,400,000 Class F Asset Backed Floating Rate Notes due 2025

Reg S ISIN: XS2554849666 / Rule 144A ISIN: XS2554991062

 

(the "Series 2022-3 Notes")

 

£113,900,000 Class A1 Asset Backed Floating Rate Notes due 2026

Reg S ISIN: XS2715923459 / Rule 144A ISIN: XS2716700286

 

$75,000,000 Class A2 Asset Backed Floating Rate Notes due 2026
Reg S ISIN: XS2715925157 / Rule 144A ISIN: US65120LAL53

 

£24,150,000 Class B Asset Backed Floating Rate Notes due 2026

Reg S ISIN: XS2715924002 / Rule 144A ISIN: XS2716700526

 

£36,575,000 Class C Asset Backed Floating Rate Notes due 2026

Reg S ISIN: XS2715924267 / Rule 144A ISIN: XS2716700799

 

£50,225,000 Class D Asset Backed Floating Rate Notes due 2026

Reg S ISIN: XS2715924424 / Rule 144A ISIN: XS2716700872

 

£25,550,000 Class E Asset Backed Floating Rate Notes due 2026

Reg S ISIN: XS2715924937 / Rule 144A ISIN: XS2716700955

 

£21,350,000 Class F Asset Backed Floating Rate Notes due 2026

Reg S ISIN: XS2715925074 / Rule 144A ISIN: XS2716701094

 

(the "Series 2023-1 Notes")

 

£177,800,000 Class A Asset Backed Floating Rate Notes due 2027

Reg S ISIN: XS2768182284 / Rule 144A ISIN: XS2768182367

 

£25,200,000 Class B Asset Backed Floating Rate Notes due 2027

Reg S ISIN: XS2768182524 / Rule 144A ISIN: XS2768182797

 

£33,950,000 Class C Asset Backed Floating Rate Notes due 2027

Reg S ISIN: XS2768182870 / Rule 144A ISIN: XS2768182953

 

£53,900,000 Class D Asset Backed Floating Rate Notes due 2027

Reg S ISIN: XS2768183092 / Rule 144A ISIN: XS2768183175

 

£33,600,000 Class E Asset Backed Floating Rate Notes due 2027

Reg S ISIN: XS2768183332 / Rule 144A ISIN: XS2768183415

 

£8,050,000 Class F Asset Backed Floating Rate Notes due 2027

Reg S ISIN: XS2768183688 / Rule 144A ISIN: XS2768183761

 

(the "Series 2024-1 Notes")

 

£177,800,000 Class A Asset Backed Floating Rate Notes due 2032

Reg S ISIN: XS2834466620 / Rule 144A ISIN: XS2834466976

 

£25,200,000 Class B Asset Backed Floating Rate Notes due 2032

Reg S ISIN: XS2834467271 / Rule 144A ISIN: XS2834467438

 

£33,950,000 Class C Asset Backed Floating Rate Notes due 2032

Reg S ISIN: XS2834467602 / Rule 144A ISIN: XS2834467941

 

£57,050,000 Class D Asset Backed Floating Rate Notes due 2032

Reg S ISIN: XS2834468162 / Rule 144A ISIN: XS2834468592

 

£32,550,000 Class E Asset Backed Floating Rate Notes due 2032

Reg S ISIN: XS2834468832 / Rule 144A ISIN: XS2834469137

 

£5,950,000 Class F Asset Backed Floating Rate Notes due 2032

Reg S ISIN: XS2834469301 / Rule 144A ISIN: XS2834469483

 

 

(the "Series 2024-2 Notes")

 

(the Series 2021-3 Notes, the Series 2022-1 Notes, the Series 2022-2 Notes, the Series 2022-3 Notes, the Series 2023-1 Notes, the Series 2024-1 Notes and the Series 2024-2 Notes, the "Notes")

 

Notice is hereby given that Lenvi Servicing Limited has been appointed as a back-up servicer by the Receivables Trustee. For further details, please refer to:

(a)  the base prospectus dated 14 October 2024 (the "Base Prospectus") of NewDay Funding Master Issuer plc (the "Issuer"), which will be made available for inspection in electronic form on the website of the main market of the London Stock Exchange at: http://www.londonstockexchange.com/exchange/news/market-news/marketnews-home.html;

(b)  the Transaction Documents, available for inspection in accordance with the Base Prospectus and online at https://www.newday.co.uk/investors/securitisation/ .

 

Capitalised terms used, but not defined, in this Notice have the meanings given to them in the Base Prospectus.

 

Should any Noteholder have any queries in relation to this Notice, such Noteholder should contact the Issuer using the below contact details.

 

Contact Details:



Issuer:


1 Bartholomew Lane

London EC2N 2AX

Email: directors-uk@intertrustgroup.com
Attention: The Directors

This Notice is given by

NEWDAY FUNDING MASTER ISSUER PLC
as Issuer

Dated 14 October 2024

 


LEI: 213800GBPRAJHSB5YK19

 

 

END

 

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