Offer period :
22 October to 3 December 2007 with the potential for extension by one week.
Face value of the bonds :
USD 1/EUR 1 per bond
Minimum subscription :
USD bonds : USD 50,000
EFA investors : EUR 50,000 equivalent as advised by Man IP 220 Services 5 Ltd. Hong Kong investors: USD 65,000.
EUR bonds : EUR 50,000
Hong Kong investors: USD 65,000 equivalent as advised by
Man IP 220 Series 5 Ltd.
If investing in both classes, the minimum subscription amounts above still apply to your overall investment but you must subscribe for at least 20,000 bonds in each class(this does not apply to EEA/Hong investors.)
Minimum redemption : 20,000 bonds
Minimum holding : 50,000 bonds
Maturity date :
USD bonds: 31 August 2020
USD bonds: 31 August 2020
Sales charge : none
Dealing frequency : monthly
|
Monthly redemptions subject to the following fees
| Redemption or between |
Redemption fee |
| the issue date and 31 December 2009 |
4% of NAV per bond |
| 1 january 2010 and 31 December 2011 |
15.0% |
| 1 january 2010 and 31 December 2013 |
17.6% |
| on or after 1 january 2014 |
0.65 |
Reporting
Investors can access prices through the following media:
- www.maninvestments.com
- Financial Times and International Herald Tribune
- Bloomberg, Reuters, Standard & Poor’s, and Telekurs electronic data services.
| |
USD Bonds |
EUR Bonds |
| Common code |
32041680 |
32041817 |
| ISIN code |
XS0320416802 |
XS0320418170 |
| Valoren number |
3394003 |
3393999 |
|