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Lafarge SA

(the “Issuer”)

Make-Whole Redemption Notice to the holders of the


€750,000,000 4.75% Notes due September 2020 (the “Notes”)

under the €12,000,000,000 Euro Medium Term Note Programme

Series Number: LAFMTN021


ISIN Code: XS0975113498

Notice is hereby given to the Noteholders that, in accordance with the provisions of the Final Terms
dated 27 September 2013 and the Terms and Conditions of the Base Prospectus dated 16 May 2013,
the Issuer will redeem all the outstanding Notes at their Optional Redemption Amount on
18 October 2016 (the “Optional Redemption Date”).

The Optional Redemption Amount per €1,000 Calculation Amount to be paid on the Optional
Redemption Date will be calculated by Natixis as Calculation Agent and published in due course.

The Optional Redemption Amount and accrued interest will be paid on the Optional Redemption Date
via the clearing systems (Euroclear Bank SA/NV and Clearstream Banking, société anonyme).

ISSUING & PRINCIPAL PAYING AGENT

Citibank, N.A.
th
13 Floor, Citigroup Centre
Canada Square
Canary Wharf London E14 5LB
United Kingdom

PAYING AGENTS

BNP Paribas Securities Services Citibank International plc Paris


Luxembourg Branch Citicentre 19 Le Parvis
33, rue de Gasperich Paris 92073
5826 Hesperange La Défense Cedex 36
Grand Duchy of Luxembourg France

CALCULATION AGENT

Natixis
30, avenue Pierre Mendès-France
75013 Paris
France

LAFARGE S.A. - 61, rue des Belles Feuilles - B.P.40 - 75782 Paris Cedex 16 - France
Telephone +33 1 44 34 11 11, Fax +33 1 44 34 12 00
Joint stock company (“S.A.”) with a share capital of 1,157,633,516 € - 542 105 572 RCS Paris
www.lafargeholcim.com

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