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Latest News
Today is November 27, 2024.
All times in Eastern Time.
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HAFNIA LIMITED: Key information relating to dividend for the third quarter 2024SINGAPORE--(BUSINESS WIRE)--Reference is made to the announcement made by Hafnia Limited ("Hafnia” or the "Company", OSE ticker code: “HAFNI”, NYSE ticker code: “HAFN”) on November 27, 2024 announc... more »
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Hafnia Limited Announces Financial Results for the Three and Nine Months Ended September 30, 2024SINGAPORE--(BUSINESS WIRE)--Hafnia Limited (“Hafnia”, the “Company” or “we”, OSE ticker code: “HAFNI”, NYSE ticker code: “HAFN”), a leading product tanker company with a diversified and modern flee... more »
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Apse Capital Announces Closing of €350 Million Continuation Fund Led by J.P. Morgan Asset ManagementLONDON--(BUSINESS WIRE)--Apse Capital Announces Closing of €350 Million Continuation Fund Led by J.P.Morgan Asset Management more »
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LONDON--(BUSINESS WIRE)-- ISIN GB00BTDYK231 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank plc Redemption Type Repurchase Currency USD O/S Balance 30,000,000.00 New Balance 0.00 Value Date 22-No... more »
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LONDON--(BUSINESS WIRE)-- ISIN GB00BTDYKB27 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank plc Redemption Type Repurchase Currency USD O/S Balance 1,080,000.00 New Balance 0.00 Value Date 22-Nov... more »
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LONDON--(BUSINESS WIRE)-- ISIN GB00BTDYK892 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank plc Redemption Type Repurchase Currency USD O/S Balance 1,050,000.00 New Balance 0.00 Value Date 22-Nov... more »
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LONDON--(BUSINESS WIRE)-- ISIN GB00BTDFP544 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank plc Redemption Type Repurchase Currency USD O/S Balance 40,000,000.00 New Balance 0.00 Value Date 22-No... more »
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LONDON--(BUSINESS WIRE)-- South Eastern Power Networks PLC Issue of GBP 50,000,000.00 CPI Linked notes due 5 June 2043 Series 2023 2 Tranche 1 MTN ISSUE NAME. Our Ref. MP6752 ISIN Code. XS26310515... more »
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LONDON--(BUSINESS WIRE)-- ISIN GB00BTDYK454 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank plc Redemption Type Repurchase Currency USD O/S Balance 2,000,000.00 New Balance 0.00 Value Date 22-Nov... more »
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LONDON--(BUSINESS WIRE)-- TR-1: Standard form for notification of major holdings 1a. Identity of the issuer or the underlying issuer of existing shares to which voting rights are attached ii: KE... more »
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LONDON--(BUSINESS WIRE)-- ISIN GB00BS3KLT89 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank plc Redemption Type Repurchase Currency USD O/S Balance 6,900,000.00 New Balance 0.00 Value Date 22-Nov... more »
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LONDON--(BUSINESS WIRE)-- ISIN GB00BTDYK900 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank plc Redemption Type Repurchase Currency USD O/S Balance 1,310,000.00 New Balance 0.00 Value Date 22-Nov... more »
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LONDON--(BUSINESS WIRE)-- Australia and New Zealand Banking Group Issue of USD 50,000,000.00 Floating Rate Notes due 4 June 2025 Series 2103 Tranche 1 MTN ISSUE NAME. Our Ref. MQ3275 ISIN Code. XS... more »
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LONDON--(BUSINESS WIRE)-- ISIN GB00BTDYKC34 Issuer Name HSBC Bank Plc Paying Agent HSBC Bank plc Redemption Type Repurchase Currency USD O/S Balance 1,430,000.00 New Balance 0.00 Value Date 22-Nov... more »
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LONDON--(BUSINESS WIRE)-- London Power Networks PLC Issue of GBP 50,000,000.00 CPI Linked Notes due 05 June 2043 Series 2023 1 Tranche 1 MTN ISSUE NAME. Our Ref. MP6750 ISIN Code. XS2631051336 TOT... more »