Century Sunshine Group Holdings Limited announced is made to the SGD 101,750,000 7.0% Fixed Rate Notes Due 2020 (SGX: N200703; ISIN
Reference is made to the SGD 101,750,000 7.0% Fixed Rate Notes Due 2020 (SGX: N200703; G8000008) (the "Notes") issued by the Company pursuant to its S$300,000,000 Multicurrency Medium ISIN: SG7CG8000008) issued by the Company pursuant to its SGD 300,000,000 Multicurrency Note Programme established on 19 May 2015, each of which are constituted by the trust deed dated 19 Medium Term Note Programme established on 19 May 2015, each of which are constituted by 015 entered into between (1) the Company, as issuer, (2) the guarantors named therein, as guarantors, and the trust deed dated 19 May 2015 entered into between (1) the Company, as issuer, (2) the e Bank of New York Mellon, Singapore Branch, as trustee, as amended and restated by an amending and guarantors named therein, as guarantors, and (3) The Bank of New York Mellon, Singapore ng trust deed dated 9 May 2017 (collectively, the "Amended Trust Deed") and the announcements mad Branch, as trustee, as amended and restated by an amending and restating trust deed dated 9 Company on 3 July 2020, 6 July 2020, 8 July 2020, 9 July 2020, 15 July 2020, 3 August 2020, 11 Augus May 2017 and the announcements made by the Company on 3 July 2020, 6 July 2020, 8 July 28 September 2020, 8 October 2020, 16 October 2020, 29 October 2020, 4 November 2020, 6 Novembe 2020, 9 July 2020, 15 July 2020, 3 August 2020, 11 August 2020, 28 September 2020, 8 13 November 2020, 1 December 2020, 9 December 2020, 2 February 2021, 15 March 2021, 16 March October 2020, 16 October 2020, 29 October 2020, 4 November 2020, 6 November 2020, 13 20 April 2021, 28 June 2021 and 20 August 2021. Capitalised terms used in this announcement shall bea November 2020, 1 December 2020, 9 December 2020, 2 February 2021, 15 March 2021, 16 meanings as those defined in the previous announcements unless the context requires otherwise. March 2021, 20 April 2021, 28 June 2021, 20 August 2021 and 19 October 2021, 18 January 2022, 17 March 2022, 26 April 2022, 13 September 2022, 24 October 2022, 27 October 2022, refer to the Notes published by the Company on the Stock 27 April 2023, 3 May 2023, 12 May 2023, 8 June 2023, 15 June 2023, 28 June 2023, 3 July nge of Hong Kong Limited on 19 October 2021. 2023, and 26 July 2023. Capitalised terms used in this announcement shall bear the same meanings as those defined in the previous announcements unless the context requires otherwise.