Deal Information

Old Bonds corresponding to Cash Tender Offers

ISIN

Local Code (nemotécnico)

Coupon (%)

Maturity

BTP-2021 (2)

CL0002329671

BTP0450221

4.50

02/28/2021

BTP-2021 (3)

CL0002269331

BTP0450321

4.50

03/01/2021

BTU-2021

CL0002189208

BTU0150321

1.50

03/01/2021

 

Old Bonds corresponding to Exchange Offers

ISIN

Local Code (nemotécnico)

Coupon (%)

Maturity

BTP-2021 (2)

CL0002329671

BTP0450221

4.50

02/28/2021

BTP-2021 (3)

CL0002269331

BTP0450321

4.50

03/01/2021

BTU-2021

CL0002189208

BTU0150321

1.50

03/01/2021

 

New Bonds corresponding to Exchange Offers

ISIN

Local Code (nemotécnico)

Coupon (%)

Maturity

BTP-2025

CL0002599166

BTP0250325

2.50

03/01/2025

BTU-2025

CL0002599174

BTU0000325

0.00

01/03/2025

 

Table 1: Old Bonds for Cash Tender Offers

Old Bonds corresponding to Cash Tender Offers (ISIN)

Maximum Amount Accepted (Notional; Million of CL$ or Thousand of UF, as applicable)

Cash Tender YTM 

Equivalent Dirty Price

Cash Tender Proration Ratio

Purchase Price per Multiple

CL0002329671

60,000

-0.02

102.260774696

100%

5,113,038.734800000

CL0002269331

140,000

-0.02

102.259611711

100%

5,112,980.55500000

CL0002189208

6,800

-2.64

101.637431375*

100%

508.187156875

 

*This price is expressed in inflation-linked unit (UF). The final amount in pesos will be calculated with the UF of the settlement day (02/11/2020). (UF=$28,849.76)

Timing:

-Announcement of invitation to accept cash tender orders ("Cash Tender Orders"): October 22, 2020 5:00 PM Chile time (4:00 PM EST / 10:00 PM CET)

-Cash Tender Orders will be accepted from October 27, 2020 5:00 PM Chile time (4:00 PM EST / 9:00 PM CET). (after the publication of the Peso-denominated purchase price, expressed as a Yield to Maturity)

-The Period to receive Cash Tender Orders will finalize on October 29, 2020 at 9:00 AM Chile time (8:00 AM EST / 1:00 PM CET) ("Cash Tender Offer Expiration")

-The Cash Tender Proration Ratio will be published on October 29, 2020 at 10:00 AM Chile time (9:00 AM EST / 2:00 PM CET), or as soon as practicable thereafter. 

-Settlement Date: November 2, 2020. 

 

Table 2: Old Bonds for Exchange Offer

Old Bonds corresponding to Exchange Offers (ISIN)

New Bonds corresponding to Exchange Offers (ISIN)

Maximum Amount Accepted (Notional of Old Bonds)

Exchange Offer YTM 

Equiv. Exchange Offer Dirty Price

New Bonds YTM

Equiv. New Bonds Dirty Price

Exchange Offer Proration Ratio

Exchange Ratio per Multiple

CL0002329671

CL0002599166

No limit

-0.02

102.260774696

1.25

105.694853186

100%

4,837,548

CL0002269331

CL0002599166

No limit

-0.02

102.259611711

1.25

105.694853186

100%

4,837,492

CL0002189208

CL0002599174

No limit

-2.64

101.637431375*

-1.03

104.580000000

100%

485.931494430*

 

*This price is expressed in inflation-linked unit (UF). The final amount in pesos will be calculated with the UF of the settlement day (02/11/2020). (UF=$28,849.76)

Timing:

-Announcement of invitation to accept exchange orders ("Exchange Orders"): October 22, 2020 5:00 PM Chile time (4:00 PM EST / 10:00 PM CET)

-Exchange Orders will be accepted from October 29, 2020 11:30 AM Chile time (10:30 AM EST / 3:30 PM CET). (after the publication of the Peso-denominated purchase price, expressed as a Yield to Maturity)

-The Period to receive Exchange Orders will finalize on October 30, 2020 at 9:00 AM Chile time (8:00 AM EST / 1:00 PM CET) ("Exchange Offer Expiration")

-Exchange Offer Proration Ratio will be 100% (no limit of amounts to be accepted).

-Settlement Date: November 2, 2020. 

Dólar Observado (exchange rate to calculate cash payment and Fractional Differences in the Exchange Offer): $775.56

Investors should be aware that Euroclear will establish their own earlier deadline for participation in the Cash Tender Offers and Exchange Offers.

Investors via Euroclear can contact the Coordination Agent if they have any question: Morrow Sodali Ltd. 

Email: chile@investor.morrowsodali.com

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