Source - LSE Regulatory
RNS Number : 8987N
Tower Bridge Funding 2024-3 PLC
27 November 2024
 

NOTICE TO NOTEHOLDERS

Tower Bridge Funding 2024-3 PLC

(Registered in England and Wales under number 15811524)

(the "Issuer")

Class A Notes due December 2066 (Reg S ISIN XS2885223672, Rule 144a ISIN XS2885223839)

Class B Notes due December 2066 (Reg S ISIN XS2885223912, Rule 144a ISIN XS2885224050)

Class C Notes due December 2066 (Reg S ISIN XS2885224134, Rule 144a ISIN XS2885224217)

Class D Notes due December 2066 (Reg S ISIN XS2885224308, Rule 144a ISIN XS2885224563)

Class E Notes due December 2066 (Reg S ISIN XS2890155661, Rule 144a ISIN XS2890155745)

Class X Notes due December 2066 (Reg S ISIN XS2885224647, Rule 144a ISIN XS2885224720)

Class Z Notes due December 2066 (together the "Notes")

The Master Definitions Schedule, dated 19 September 2024 and signed for the purpose of identification by Cadwalader, Wickersham & Taft LLP and Allen Overy Shearman Sterling LLP in connection with the Notes (as the same may have been amended, varied or supplemented from time to time, the "Master Definitions Schedule") is expressly and specifically incorporated into this notice and, accordingly, the expressions defined in the Master Definitions Schedule shall, except where the context otherwise requires and save where otherwise defined in this notice, have the same meanings in this notice and this notice shall be construed in accordance with the interpretation provisions set out in Clause 2 (Interpretation) of the Master Definitions Schedule.

NOTICE IS HEREBY GIVEN by the Issuer to each Noteholder in accordance with Note Condition 13 (Notice to Noteholders), purely for the purposes of information, that:

Belmont Green Finance Limited (the "Company"), registered in England and Wales under number 09837692, being the Seller, Mortgage Administrator and Cash Administrator in relation to the residential mortgage-backed securitisation transaction involving the Issuer and the Notes, has notified the Issuer that:

(a) The Company was granted authorisation to accept deposits by the Prudential Regulation Authority and Financial Conduct Authority on 19 November 2024 (often referred to as a UK banking licence); 

(b) The Company changed its name to Vida Bank Limited effective from 25 November 2024;

(c)  The Company's corporate website address is now www.vidabank.co.uk.  

 

For further information please contact:

Lesley-Anne Johnson

Head of Debt Investor Relations

Email: lesley-anne.johnson@vidabank.co.uk

 

By: Tower Bridge Funding 2024-3 PLC

10th Floor, 5 Churchill Place

London

E14 5HU

as Issuer

Dated 27 November 2024

 

 

 

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