Bonds Information
MirLand bond securities listed on the Tel Aviv Stock Exchange:
Series of Bonds | Bonds G |
Interest is playable on the bonds, in | Annual payments |
1% | |
Not linked | |
The bonds are to be redeemed in | 3 annual, equal payments on 31/12 from 2021 to 2023 (inclusive) |
Rating | Not credited |
Issuance Date | Dec-16 |
Outstanding liability (par value): 31/12/2018 in US$ (M) | 55 |
Outstanding liability (par value): 31/03/2019 in US$ (M) | 64.4 |
Announcement of the Tel Aviv Stock Exchange Approval 18/11/16
Court Hearing to Approve the Settlement Plan 15/09/16
Results of EGM and Bondholders Meeting 05/09/16
Settlement Plan with the Bondholders and Notice of Bondholders' Meeting 24/08/16
Circular re Settlement Plan with the Bondholders and Notice of General Meeting 19/08/16
Update on Century Project Acquisition 19/08/16
Approval of Settlement with Bondholders 11/08/16
Update on Bond Restructuring 20/07/16
Court Application Announcement 27/06/16
Update Regarding Proposed Restructuring Plan 02/02/16
Update Regarding Settlement Plan and Bonds Rating 17/12/15
Approval of Settlement with Bondholders 17/11/15
Bonds Update 01/04/2015
MirLand Bonds Announcement 08/01/15
MirLand Bonds Rating 16/12/14
Issue of New Series F Bonds 16/09/14
Offering of New Series F Bonds 12/09/14
MirLand Bonds Rating 01/09/14
MirLand Bonds Issue Announcement 06/12/13
MirLand Bonds Rating 02/12/13
Shelf Prospectus Amendment 01/07/13
MirLand Bonds Rating 26/06/13
Issuance of Series D Bonds 14/05/13
Issuance of Series D Bonds 09/05/13