For Immediate Release
CEVA GROUP PLC
Suite 1, 3rd Floor 11-12 St. James's Square
London, United Kingdom, SW1Y 4LB (the "Issuer")
Date: 17 May 2018
US$264,715,000 Floating Rate Notes due 2021 of the Issuer (the "Notes")
We refer to the notice of redemption from the Issuer published on Euronext Dublin on 11 May 2018 (the "Notice") relating to the early partial redemption of the Notes in an aggregate principal amount of US$184,000,000 (the "Redemption").
On the date of the Notice and the date of Redemption, the holder of all of the Notes was an indirect subsidiary of the Issuer. Therefore, the Redemption was solely a repayment of intragroup debt and involved no transfers of funds out of the Issuer's consolidated group.
This announcement is effective on 17 May 2018.
For further information please contact:
This announcement has been issued through the Companies Announcement Service of Euronext Dublin.
This information is provided by RNS