NOTICE TO HOLDERS OF
ANNINGTON FUNDING PLC
£625,000,000 2.646% Sterling Fixed Rate Bonds due 12 July 2025
£600,000,000 3.184% Sterling Fixed Rate Bonds due 12 July 2029
£625,000,000 3.685% Sterling Fixed Rate Bonds due 12 July 2034
£625,000,000 3.935% Sterling Fixed Rate Bonds due 12 July 2047
€600,000,000 1.650% Euro Fixed Rate Bonds due 12 July 2024
(ISIN: XS1645518496 and XS1645518652 and XS1645518736 and XS1645518819 and XS1645519031)
Annington Limited (The Parent) had given notice on 8th June to the Noteholders of an investor update conference call which was held at 14.00 (London Time) on June 14th 2018. A transcript of this conference call is now available on our website (www.annington.co.uk) also a digital recording of the call will then subsequently be made available on the Annington website for a period of 7 days.
June 14th 2018
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