REDHAT CAPITAL
fixed-income BOND
Key Features of the
Redhat Capital
Bond SERIES 2
OVERVIEW
REDHAT CAPITAL PLC is headquartered in London’s Mayfair. Today the group has grown significantly to provide performance from a diverse range of International asset classes and trading strategies.
THE BOND
THE REDHAT CAPITAL PLC Fixed Income Bond is a high-yield debt instrument that offers investors a fixed return over a 2 or 4-year term.
The Bonds will provide returns to investors via a programme exclusively focused on arbitrage trading in financial instruments.
Listed on the Vienna Stock Exchange Series 2 July 2024
KEY FEATURES
- Series 2 bond has the capacity of up to €2bn
- Series 1 Bond successfully launched / 2022 / €25m listed bond
- 12% PA coupon, paid quarterly
- Listed on the Vienna Stock Exchange
- USD, EUR, GBP
- Track Record of coupon payments
- Diverse Range of underlying Assets and Trading Strategies
- Delivers stabilised returns under any given market conditions
- Regulatory Oversight by Truva Corp Security Trustee
and Avenir acting as Registrar
BOND INFORMATION
Our fixed income bond offers a 12% return per annum over a 2-year or 4-year term, with a registered debenture held by a UK based Security Trustee.
ISSUER: REDHAT CAPITAL PLC
MINIMUM INVESTMENT: The minimum investment is GBP £100,000.
CURRENCY: GBP I USD I EUR
STOCK EXCHANGE: Vienna Stock Exchange
COUPON: 12% pa
PAYMENT FREQUENCY: Quarterly
TERM: Two Years or Four Years
SECURITY: Debenture over the assets of the Company
SECURITY TRUSTEE: Truva Corp Trustee (UK) Limited
ISSUE SIZE: Increasing issue capacity up to £2bn
ELIGIBILITY: Professional Investors and Eligible Counterparties
BLOOMBERG TICKER
REDHAT CAPITAL PLC flagship Bond Series 2 is available to be purchased through Bloomberg’s Terminal.
You can find us at the wire code REDHAT and the following FIGI codes:
GBP LISTING INFORMATION
DESCRIPTION: 12% MTN 30/06/28 GBP100000 REG S 11
SEDOL: BRF6B53
ISIN: GB00BRF6B531
RED HAT 12 06/30/28 Corp (GBP)
FIGI# BBG01P2S44W1 (BB# YW9443436)
EURO LISTING INFORMATION
DESCRIPTION: 12% MTN 30/06/28 EUR100000 REG S 11
SEDOL: BRF69P9
ISIN: GB00BRF69P98
RED HAT 12 06/30/28 Corp (EUR)
FIGl#BBG01 P2S44W1 (BB# YW8244686)
USD LISTING INFORMATION
DESCRIPTION: 12% MTN 30/06/28 USD100000 REG S 11
SEDOL: BQTXLCO
ISIN: GB00BQTXLCO5
RED HAT 12 06/30/28 Corp (USD)
FIGl#BBG01 P188Z17 (BB#YW7710125)
BOND PERFORMANCE