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Thursday, 2 November 2017

Saipem BNP Paribas Primary New Issues : Stabilisation Notice

BNP Paribas Primary New Issues    

Published: 17:44 CET 02-11-2017 /GlobeNewswire /Source: BNP Paribas Primary New Issues / : /ISIN:

Saipem BNP Paribas Primary New Issues : Stabilisation Notice

Date: 2nd November 2017

 

Not for distribution, directly or indirectly, in or into the United States or any jurisdiction in which such distribution would be unlawful.

Saipem Finance International B.V.

Mid-stabilisation Period Announcement

 

Further to the pre-stabilisation period announcement dated 27th October 2017, BNP Paribas, Contact: Rupert Lewis telephone: 0207 595 8222 hereby gives notice that the Stabilisation Manager(s) named below undertook stabilisation (within the meaning of Article 3.2(d) of the Market Abuse Regulation (EU/596/2014) and of the rules of the Financial Conduct Authority) in relation to the offer of the following securities, as set out below.

 

Securities

Issuer:

 Saipem Finance International B.V.

Guarantor (if any):

 Saipem (Portugal) - Comércio Marítimo, Sociedade Unipessoal Lda. , Saipem SA, Sofresid SA , Saipem Limited , Saipem Offshore Norway AS, Saipem Drilling Norway AS, Saipem Contracting Netherlands B.V., Global Petroprojects Services AG and Saipem S.p.A., as per the Base Prospectus dated 2nd August 2017, as supplemented by the Supplement dated 26th October 2017

Aggregate nominal amount:

 Euro 500 million

Description:

 2.625 per cent Notes due 2025

XS1711584430

Stabilisation Manager(s):

 BNP Paribas

 

Stabilisation transaction[s]

Date and time:

Price:

Quantity

Stabilisation trading venue:

 27/10/17

100

2,500,000

OTC

 27/10/17

100

606,000

 OTC

 27/10/17

 100.125

2,000,000

OTC

 27/10/17

 99.95

 100,000

OTC

 27/10/17

99.75

800,000

OTC

 27/10/17

 99.95

100,000

OTC

 27/10/17

 99.99

 600,000

OTC

 27/10/17

 100

2,000,000

OTC

 27/10/17

 99.95

1,000,000

OTC

 27/10/17

 99.95

 100,000

OTC

 27/10/17

 100.08

150,000

OTC

 27/10/17

 100

 1,000,000

OTC

27/10/17 

 100.05

100,000

OTC

 27/10/17

 100.10

100,000

OTC

27/10/17 

 100.10

100,000

OTC

 27/10/17

 100

1,000,000

OTC

27/10/17 

 100.1

 200,000

OTC

27/10/17 

 100.1

500,000

OTC

27/10/17 

 100.12

1,500,000

OTC

27/10/17 

 100.07

 1,000,000

OTC

30/10/17

 100.05

 1,000,000

OTC

30/10/17

 100.09

 200,000

OTC
30/10/17

 100.15

 1,000,000

OTC

 30/10/17

 100.145

 150,000

OTC

 31/10/17

 100.30

 2,000,000

OTC

 31/10/17

 100.25

 2,450,000

OTC

 31/10/17

 100.39

 100,000

OTC

 31/10/17

 100.25

2,000,000

OTC

 1/11/17

100.55

200,000

OTC

 2/11/17

 100.8

 1,675,000

OTC

 2/11/17

 100.77

 1,000,000

OTC

 2/11/17

 100.76

 1,000,000

OTC

 2/11/17

 100.70

 525,000

OTC

 2/11/17

 100.71

 500,000

OTC

 2/11/17

 100.67

 100,000

OTC

 2/11/17

 100.76

 150,000

OTC

 2/11/17

 100.755

 100,000

OTC

 

This announcement is for information purposes only and does not constitute an invitation or offer to underwrite, subscribe for or otherwise acquire or dispose of any securities of the Issuer in any jurisdiction.

 

This announcement is not an offer of securities for sale into the United States. The securities referred to above have not been, and will not be, registered under the United States Securities Act of 1933 and may not be offered or sold in the United States absent registration or an exemption from registration. There has not been and will not be a public offer of the securities in the United States.

 

 




This announcement is distributed by Nasdaq Corporate Solutions (One Liberty Plaza, 165 Broadway, New York, NY 10006. Tel: +1 212 401 8700. www.nasdaqomx.com) on behalf of Nasdaq Corporate Solutions clients. Source: BNP Paribas Primary New Issues, 10 Harewood Avenue, London NW1 6AA, United Kingdom
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