- Early Bond Redemption

On 29 August, Melita Capital plc announced its decision to opt for the early redemption of its 7.15% bond on 30 September 2014. The bondholders of the 7.15% Melita Capital plc 2014-2016 appearing on the register as at close of business 15 September 2014 will be receiving payment of the nominal value of the bonds on 30 September 2014, along with the interest accrued until 30 September 2014. Consequently, the last day of trading in the Bonds shall be 10 September 2014.