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PureTech Health: Notice of Results

BOSTON--(BUSINESS WIRE)--PureTech Health: Notice of Results...
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HSBC Bank Plc UK Regulatory Announcement: Early Repurchase(s)

LONDON--(BUSINESS WIRE)--  ISIN GB00BS3KP185 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank Plc Redemption Type Repurchase Currency USD O/S Balance 3,984,063.00 New Balance 0.00 Value Date 09-Apr-26  ...
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HSBC Bank Plc UK Regulatory Announcement: Early Repurchase(s)

LONDON--(BUSINESS WIRE)--  ISIN XS3059461684 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank Plc Redemption Type Repurchase Currency USD O/S Balance 1,450,000.00 New Balance 0.00 Value Date 09-Apr-26  ...
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Wellington Management Expands Liquid Alternatives Range With New Absolute Return Global Equity UCITS Fund

LONDON--(BUSINESS WIRE)--Wellington Management (“Wellington”), one of the world’s largest independent investment management firms with more than US$1.3 trillion1 in assets under management, today announced the launch of the Wellington Absolute Return Global Equity Fund (the “Fund”), a market‑neutral, multi‑manager global equity UCITS strategy with the aim of delivering returns above cash, independent of market direction. In a market environment characterised by heightened volatility, unstable a...
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Mundys S.p.A. UK Regulatory Announcement: Mundys Obtains Regulatory Clearance to Increase Its Stake in Getlink up to 25% in Capital and 29.9% in Voting Rights

ROME--(BUSINESS WIRE)--  Following the previous announcement released on 31 March 2026, Mundys announces that it has received the relevant clearance by the UK Government under the National Security and Investment Act 2021. Mundys confirms that it does not have any intention to take control of Getlink or to request the nomination of additional board members. The Mundys Group, controlled by Edizione with Blackstone as its second-largest shareholder, manages motorway and airport concessions and pr...
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Saba Capital Comments on Shareholders’ Rejection of Edinburgh Worldwide Investment Trust PLC’s Proposed Tender Offer

LONDON--(BUSINESS WIRE)--Saba Capital Management, L.P. (together with certain of its affiliates, “Saba” or “we”), the largest shareholder of Edinburgh Worldwide Investment Trust PLC (EWI:LSE) (“EWI” or the “Company”), today issued the following statement on shareholders’ rejection of the Company’s proposed tender offer at its General Meeting on 10 April 2026. “We thank our fellow shareholders for their support in rejecting the EWI Board’s deeply flawed tender proposal, which would have forced s...
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Hoffmann Green Is Strengthening its Partnership With Groupe Angevin by Signing an Agreement With its Subsidiary Angevin Île-de-France

CHAILLÉ-SOUS-LES-ORMEAUX, France--(BUSINESS WIRE)--Regulatory News: Hoffmann Green Cement Technologies (ISIN: FR0013451044, Ticker: ALHGR) (“Hoffmann Green Cement” or the “Company”), an industrial player committed to the decarbonation of the construction sector that designs and markets innovative cold produced, clinker-free cements, announces the strengthening of its partnership with the Groupe Angevin through the signing of a new agreement with its subsidiary Angevin Île-de-France, which speci...
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HSBC Bank Plc UK Regulatory Announcement: FRN Variable Rate Fix

LONDON--(BUSINESS WIRE)--  09-April-2026 Issue: BANK OF MONTREAL Series 374 XS2798993858 Pursuant to our appointment as Agent for the above stated issue, please be advised of the following interest rate determination: Date From: 13-April-2026 Date To: 13-July-2026 Record Date: 10-July-2026 Value Date: 13-July-2026 Benchmark Rate: 2.15% Margin: 0.47% Total Rate: 2.62% Floor: 0% Number of Days: 91 Day Count: Actual / 360 Interest Frequency: Quarterly Total Amount Due: EUR 6,622,777.78 Interest Pe...
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HSBC Bank Plc UK Regulatory Announcement: Early Repurchase(s)

LONDON--(BUSINESS WIRE)--  ISIN GB00BTDGPY68 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank Plc Redemption Type Repurchase Currency USD O/S Balance 5,042,016.00 New Balance 0.00 Value Date 10-Apr-26  ...
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HSBC Bank Plc UK Regulatory Announcement: Early Repurchase(s)

LONDON--(BUSINESS WIRE)--  ISIN GB00BTDGQ094 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank Plc Redemption Type Repurchase Currency USD O/S Balance 41,095,890.00 New Balance   Value Date 10-Apr-26  ...