Listen to our latest Investing Matters Podcast episode 'Uncovering opportunities with investment trusts' with The AIC's Richard Stone here.

Less Ads, More Data, More Tools Register for FREE

Pin to quick picksBbva Ord Regulatory News (BVA)

Share Price Information for Bbva Ord (BVA)

London Stock Exchange
Share Price is delayed by 15 minutes
Get Live Data
Share Price: 9.13
Bid: 0.00
Ask: 0.00
Change: 0.00 (0.00%)
Spread: 0.44 (4.938%)
Open: 0.00
High: 0.00
Low: 0.00
Prev. Close: 9.13
BVA Live PriceLast checked at -

Watchlists are a member only feature

Login to your account

Alerts are a premium feature

Login to your account

BBVA: Results of its invitation to holders

29 Jun 2012 08:01

RNS Number : 4603G
Banco Bilbao Vizcaya Argentaria SA
29 June 2012
 

 

 

 

Banco Bilbao Vizcaya Argentaria, S.A.("BBVA"), in compliance with the Securities Exchange legislation, hereby files the following:

 

RELEVANT EVENT

 

BBVA announces the results of its invitation (the "Invitation") to holders of the outstanding asset-backed securities detailed in the annexed table (the "Senior Securities" and the "Mezzanine Securities", together the "Securities") to tender their Securities for purchase by BBVA for cash. The Invitation was launched last 20 June 2012 and announced in relevant event filing number 167605 of that same day.

 

The Invitation expired at 5:00 p.m. (Central European Time) on 27 June 2012.

 

BBVA has decided pursuant to the terms set out in the Tender Offer Memorandum, 20 June 2012, to accept for purchase an aggregate principal amount of the Securities of €638,221,693.07. There has been no scaling of any of the Securities validly tendered for purchase and accepted by BBVA. The expected Settlement Date for the Invitation is 2 July 2012.

 

BBVA estimates that the transaction will generate a capital gain of €250,129,138.90.

 

BBVA, Barclays Bank PLC, HSBC Bank plc and Société Générale are acting as Dealer Managers for the Invitation. Lucid Issuer Services Limited is acting as Tender Agent. For detailed terms of the Initiations please refer to the Tender Offer Memorandum.

 

The Tender Agent will, on the day of this announcement, communicate to the Accountholders which Tender Instructions have been accepted and which have not been accepted. If you would like further information please contact the Tender Agent: www.lucid-is.com/bbva / +44 (0) 20 7704 0880, Attention: David Shilson / Paul Kamminga.

 

The results of the acceptances for the purchase of Securities by BBVA, whose Purchase Prices have been determined in compliance with the unmodified Dutch auction procedure are described in the annexed tables.

 

Capitalised terms used in this announcement but not defined have the meaning given to them in the Tender Offer Memorandum dated 20 June 2012.

 

Madrid, 28 June 2012

 

 

DISCLAIMER

This announcement must be read in conjunction with the Tender Offer Memorandum. No offer or invitation to acquire any securities is being made pursuant to this announcement. The distribution of this announcement and the Tender Offer Memorandum in certain jurisdictions may be restricted by law. Persons into whose possession this announcement and/or the Tender Offer Memorandum comes are required by each of BBVA, the Dealer Managers and the Tender Agent to inform themselves about, and to observe, any such restrictions.

ANNEX

SENIOR SECURITIES

Issuer

Series

ISIN

Aggregate Outstanding Principal Amount

Aggregate Principal Amount Accepted for each Series

Total amount paid for the Aggregate Principal Amount Accepted for each Series (excluding interest)

BBVA-3 FTPYME Fondo de Titulización de Activos

Series A2(G) €215,300,000

ES0310110012

€32,203,541

-

-

BBVA HIPOTECARIO 3 Fondo de Titulización de Activos

Series A2 €925,700,000

ES0314227010

€153,254,911

-

-

BBVA-4 PYME Fondo de Titulización de Activos

Series A2 €879,300,000

ES0370458012

€26,765,804

-

-

BBVA AUTOS 2 Fondo de Titulización de Activos

Series A €949,500,000

ES0333761007

€96,238,187

-

-

BBVA CONSUMO 1 Fondo de Titulización de Activos

Series A €1,447,500,000

ES0333763003

€146,708,902

-

-

BBVA-5 FTPYME Fondo de Titulización de Activos

Series A1 €1,472,800,000

ES0370459002

€80,348,015

-

-

BBVA-5 FTPYME Fondo de Titulización de Activos

Series A2 €200,000,000

ES0370459010

€26,220,380

-

-

BBVA-5 FTPYME Fondo de Titulización de Activos

Series A3(G) €130,300,000

ES0370459028

€13,320,751

-

-

BBVA CONSUMO 2 Fondo de Titulización de Activos

Series A €1,440,700,000

ES0313956007

€202,765,847

-

-

BBVA FINANZIA AUTOS 1 Fondo de Titulización de Activos

Series A €744,000,000

ES0313958003

€103,976,009

-

-

BBVA RMBS 1 Fondo de Titulización de Activos

Series A2 €1,400,000,000

ES0314147010

€914,677,260

€17,378,867.94

€14,705,723.66

BBVA RMBS 1 Fondo de Titulización de Activos

Series A3 €495,000,000

ES0314147028

€495,000,000

€100,000,000.00

€75,000,000.00

BBVA RMBS 2 Fondo de Titulización de Activos

Series A2 €2,400,000,000

ES0314148018

€1,547,150,880

€110,750,217.16

€96,442,294.77

BBVA RMBS 2 Fondo de Titulización de Activos

Series A3 €387,500,000

ES0314148026

€387,500,000

€65,000,000.00

€55,900,000.00

BBVA RMBS 2 Fondo de Titulización de Activos

Series A4 €1,050,000,000

ES0314148034

€1,050,000,000

-

-

BBVA-6 FTPYME Fondo de Titulización de Activos

Series A1 €1,201,900,000

ES0370460000

€84,477,465

-

-

BBVA-6 FTPYME Fondo de Titulización de Activos1

Series A2(G) €215,500,000

ES0370460018

€93,825,381

-

-

BBVA LEASING 1 Fondo de Titulización de Activos

Series A1 €750,000,000

ES0314209000

€114,291,525

-

-

BBVA LEASING 1 Fondo de Titulización de Activos

Series A2 €1,606,200,000

ES0314209018

€244,766,730

-

-

BBVA RMBS 3 Fondo de Titulización de Activos

Series A1 €1,200,000,000

ES0314149008

€551,750,520

€11,540,781.71

€7,939,689.98

BBVA RMBS 3 Fondo de Titulización de Activos

Series A2 €595,500,000

ES0314149016

€557,606,191

-

-

BBVA RMBS 3 Fondo de Titulización de Activos

Series A3a €681,031,152

ES0314149057

€671,905,335

-

-

BBVA RMBS 3 Fondo de Titulización de Activos

Series A3b €136,206,230.40

ES0314149065

€136,206,230

-

-

BBVA RMBS 3 Fondo de Titulización de Activos

Series A3c €63,562,907.52

ES0314149073

€63,562,908

€40,010,580.18

€24,006,348.11

BBVA RMBS 3 Fondo de Titulización de Activos

Series A3d €27,241,246.08

ES0314149081

€27,241,246

€27,241,246.08

€16,344,747.65

BBVA-8 FTPYME Fondo de Titulización de Activos

Series A2(G) €461,700,000

ES0370462014

€197,119,075

-

-

 

MEZZANINE SECURITIES

Issuer

Series

ISIN

Aggregate Outstanding Principal Amount

Aggregate Principal Amount Accepted for each Series

Total amount paid for the Aggregate Principal Amount Accepted for each Series (excluding interest)

BBVA AUTOS 1 Fondo de Titulización de Activos

Series C €27,000,000

ES0314204027

€20,504,183

-

-

BBVA-3 FTPYME Fondo de Titulización de Activos

Series B €40,800,000

ES0310110020

€17,657,844

-

-

BBVA-3 FTPYME Fondo de Titulización de Activos

Series C €18,600,000

ES0310110038

€8,049,900

-

-

BBVA HIPOTECARIO 3 Fondo de Titulización de Activos

Series B €55,900,000

ES0314227028

€46,525,861

-

-

BBVA HIPOTECARIO 3 Fondo de Titulización de Activos

Series C €18,900,000

ES0314227036

€15,731,895

-

-

BBVA-4 PYME Fondo de Titulización de Activos

Series B €28,800,000

ES0370458020

€18,409,870

-

-

BBVA-4 PYME Fondo de Titulización de Activos

Series C €41,900,000

ES0370458038

€26,783,804

-

-

BBVA AUTOS 2 Fondo de Titulización de Activos

Series B €20,500,000

ES0333761015

€20,500,000

-

-

BBVA AUTOS 2 Fondo de Titulización de Activos

Series C €30,000,000

ES0333761023

€30,000,000

-

-

BBVA CONSUMO 1 Fondo de Titulización de Activos

Series B €28,500,000

ES0333763011

€28,500,000

-

-

BBVA CONSUMO 1 Fondo de Titulización de Activos

Series C €24,000,000

ES0333763029

€24,000,000

€10,100,000.00

€5,045,000.00

BBVA-5 FTPYME Fondo de Titulización de Activos

Series B €39,900,000

ES0370459036

€39,900,000

-

-

BBVA-5 FTPYME Fondo de Titulización de Activos

Series C €57,000,000

ES0370459044

€57,000,000

-

-

BBVA CONSUMO 2 Fondo de Titulización de Activos

Series B €16,500,000

ES0313956015

€16,500,000

-

-

BBVA CONSUMO 2 Fondo de Titulización de Activos

Series C €42,800,000

ES0313956023

€42,800,000

-

-

BBVA FINANZIA AUTOS 1 Fondo de Titulización de Activos

Series B €26,800,000

ES0313958011

€26,800,000

-

-

BBVA FINANZIA AUTOS 1 Fondo de Titulización de Activos

Series C €29,200,000

ES0313958029

€29,200,000

-

-

BBVA RMBS 1 Fondo de Titulización de Activos

Series B €120,000,000

ES0314147036

€120,000,000

€66,600,000.00

€27,732,500.00

BBVA RMBS 1 Fondo de Titulización de Activos

Series C €85,000,000

ES0314147044

€85,000,000

€58,500,000.00

€18,155,000.00

BBVA RMBS 2 Fondo de Titulización de Activos

Series B €112,500,000

ES0314148042

€112,500,000

€43,200,000.00

€17,575,000.00

BBVA RMBS 2 Fondo de Titulización de Activos

Series C €100,000,000

ES0314148059

€100,000,000

€65,100,000.00

€20,191,750.00

BBVA-6 FTPYME Fondo de Titulización de Activos

Series B €50,300,000

ES0370460026

€50,300,000

€22,800,000.00

€9,054,500.00

BBVA-6 FTPYME Fondo de Titulización de Activos

Series C €32,300,000

ES0370460034

€32,300,000

-

-

BBVA LEASING 1 Fondo de Titulización de Activos

Series B €82,500,000

ES0314209026

€82,500,000

-

-

BBVA LEASING 1 Fondo de Titulización de Activos

Series C €61,300,000

ES0314209034

€61,300,000

-

-

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
MSCBKCDPABKKAAB
Date   Source Headline
14th Feb 20183:05 pmRNSGMTN Programme-Supplement to the Offering Circular
14th Feb 20189:23 amRNSBBVA Group Annual Report 2017
14th Feb 20187:41 amRNS2018 AGM Proposed Resolutions
13th Feb 20187:00 amRNS2018 Annual General Meeting Call
13th Feb 20187:00 amRNSFinal Dividend Calendar 2017
7th Feb 20182:14 pmRNSPublication of approved ECP Supplement
1st Feb 20187:09 amRNS4Q17 Results Presentation
1st Feb 20187:04 amRNS4Q17 Results Report
1st Feb 20187:02 amRNS4Q17 Results Press Release
1st Feb 20187:00 amRNSProposal for payment of dividend
25th Jan 20185:25 pmRNS4Q17 Results Presentation Announcement
10th Jan 20187:00 amRNSAssessment of the shareholding at Telefonica, S.A
28th Dec 20173:26 pmRNSGMTN Programme Supplement to the Offering Circular
27th Dec 201712:59 pmRNSGMTN Programme - Issuer Substitution
27th Dec 201712:42 pmRNSGMTN Programme
21st Dec 20176:29 pmRNSPost Stabilisation Notice
15th Dec 20174:00 pmRNSPublication of approved ECP Information Memorandum
13th Dec 20175:35 pmRNSSREP Capital Requirements 2018
5th Dec 20177:22 amRNSTransmissions and purchases of capital undertaking
4th Dec 201710:47 amRNSFinal Terms 154SNP
29th Nov 20178:13 amRNSSale of real estate business
28th Nov 20177:00 amRNSBinding offer for the acquisition of BBVA Chile
24th Nov 20171:25 pmRNSFinal Terms 153SNP
10th Nov 201712:31 pmRNSFinal Terms Global Medium Term Note Programme
9th Nov 20177:00 amRNSAT1 Issuance for a total nominal amount
8th Nov 201710:52 amRNSPre Stabilisation Notice
7th Nov 20171:10 pmRNSOffer of securities contingently convertible
27th Oct 20174:29 pmRNSGMTN programme Supplement to the Offering Circular
27th Oct 20177:00 amRNSBBVA communicates its 3Q17 results press release
27th Oct 20177:00 amRNSBBVA communicates its 3Q17 results report
27th Oct 20177:00 amRNSBBVA communicates its 3Q17 results presentation
23rd Oct 20175:33 pmRNS3Q17 Results Presentation Announcement
6th Oct 201711:39 amRNSPost Stabilisation Notice BBVA EUR 5yr SNP
28th Sep 20177:55 amRNSHR News Real Estate
28th Sep 20177:00 amRNSDividend October 2017
4th Sep 20174:33 pmRNSFinal Terms 152 Execution version
31st Aug 20177:47 amRNSBBVA Chile News
30th Aug 20178:30 amRNSPre Stabilisation Notice BBVA 5yr EUR SNP
2nd Aug 20177:57 amRNSDBRS upgrades BBVA´s Cédulas Hipotecarias rating
1st Aug 201712:53 pmRNSFinal Supplement 2Q17
27th Jul 20176:04 pmRNS2Q17 Results Report
27th Jul 20175:46 pmRNS2Q17 Results Presentation
27th Jul 20175:30 pmRNS2Q17 Results Press Release
25th Jul 20175:39 pmRNSScope upgrades BBVA's senior unsecured rating
20th Jul 20175:18 pmRNSResults Presentation Announcement
12th Jun 20177:00 amRNSDBRS changes subordinated debt ratings
1st Jun 20177:00 amRNSBoard of Directors changes
25th May 201712:32 pmRNSFinal Terms GMTN151SUB
25th May 201711:26 amRNSFinal Terms
17th May 20177:00 amRNSAT1 Issuance

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.

Login to your account

Don't have an account? Click here to register.

Quickpicks are a member only feature

Login to your account

Don't have an account? Click here to register.