La dicitura titoli tecnici non so cosa significhi
Dovete leggere quest'altra comunicazione mandata da Lucid:
Dear Sir/Madam,
We are sending you this email as you may have been a holder of one or more of the Notes listed above issued pursuant to the restructuring of Abengoa S.A. in March 2017.
If you are not a holder or you have already participated in the most recent restructuring which settled on 26 April 2019, please disregard this message.
As you may or may not be aware, Abengoa underwent a further restructuring which settled on Friday 26 April 2019.
The Effective Date, 25 April 2019 serves as the Record Date for your eligibility to claim proceeds resulting from this restructuring
Lucid Issuer Services was appointed as the Holding Period Trustee and Information Agent.
Please note the following:
Holders of the above Notes as of the Record Date being 25 April 2019 who have either a) not previously instructed before the deadline of 25 March 2019 or b) voted against the restructuring retain their right to receive their proceeds and claim their proceeds from the Holding Period Trust
The right to claim their consideration exists until a “Conversion Event” is triggered under the new securities or 26 April 2024, whichever comes first.
As at the date of implementation of the Restructuring, the old Senior Old Money and the old Junior Old Money Notes no longer exist.
Positions have therefore been moved to technical ISIN, as per the above (No technical ISIN exists for the New Money 2 Notes)
These technical ISIN will never pay interest or principal.
Technical ISIN reflect your right to claim your proceeds.
Your custodian should have already processed these changes; if they have not, please chase them.
How do you claim?
Beneficial holders must arrange to submit an electronic instruction through their Account Holder (your custodian bank) in one of the following forms:
Confirming they are Eligible – Receive the New Securities as defined below (in Reg S if the holder held the Reg S Notes / in 144A if the holder held 144A Notes)
Confirming they are Ineligible – this serves as an instruction to Lucid to sell entitlements and credit net proceeds in EUR (if the original notes were in EUR) / in USD (if the original notes were in USD). Eligibility is defined in the Restructuring Agreement – you may not instruct for this option 2 if you are eligible to receive the New Securities.
We will verify this and accept or reject instructions based on information provided.
***
In pratica chi ha votato contro o non ha votato non ha ricevuto i titoli, ma un ISIN tecnico (= virtuale) che gli dà diritto a ricevere i titoli solo previa richiesta tramite la banca. Dovete mettervi in contatto con la vostra banca e far sì che loro confermino che siete eligible.