Redeemed securities – Wholesale securities
Macquarie Preferred Membership Interests (PMIs) were redeemed on 2 December 2015.
The PMIs were unsecured and subordinated hybrid securities. They were non-cumulative and paid a fixed rate of interest.
The PMIs were listed on the Singapore Stock Exchange under the ISIN Code ‘XS0562354422’. They were originally listed on 3 December 2010.
Refer to the PMIs Offering Circular.
The PMIs paid semi-annual distributions on:
Distribution payments were non-cumulative and were only be paid, inter alia, at the sole discretion of the Issuer.
Full details of payment terms can be found in the PMIs Offering Circular.
View documentation for the Macquarie Preferred Membership Interests
Rating agency | Rating |
---|---|
Standard & Poor's |
BB |
Moody's Investors Services |
Ba1 |
Fitch Ratings |
BB |