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NIG Prospectus - London Stock Exchange

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Level: 8 – From: 8 – Thursday, August 9, 2007 – 2:18 pm – mac5 – 3776 Section 04 : 3776 Section 04APPLICABLE FINAL TERMSSet out below is the form of Final Terms which will be completed for each Series of TrustCertificates issued under the Programme.[Date]<strong>NIG</strong> Sukuk LtdIssue of [Aggregate Face Amount of Series] [Title of Trust Certificates]under theUS$1,500,000,000Trust Certificate Issuance ProgrammePART A – CONTRACTUAL TERMSTerms used herein shall be deemed to be defined as such for the purposes of the Conditions setforth in the Base <strong>Prospectus</strong> dated 13 August 2007 which constitutes a base prospectus for thepurposes of the <strong>Prospectus</strong> Directive (Directive 2003/71/EC) (the <strong>Prospectus</strong> Directive). Thisdocument constitutes the Final Terms of the Trust Certificates described herein for the purposesof Article 5.4 of the <strong>Prospectus</strong> Directive and must be read in conjunction with the Base<strong>Prospectus</strong>. Full information on the Issuer, National Industries Group Holding Company S.A.K. andthe offer of the Trust Certificates is only available on the basis of a combination of these Final Termsand the Base <strong>Prospectus</strong>. The Base <strong>Prospectus</strong> is available for viewing at the registered office ofthe Issuer at c/o P.O. Box 417, Safat, 13005, Kuwait and the Principal Paying Agent at 21st Floor,Citigroup Centre, Canada Square, Canary Wharf, <strong>London</strong> E14 5LB and copies may be obtainedfrom those offices.[Include whichever of the following apply or specify as “Not Applicable” (N/A). Note that thenumbering should remain as set out below, even if “Not Applicable” is indicated for individualparagraphs or subparagraphs. Italics denote directions for completing the Final Terms.][When adding any other final terms or information consideration should be given as to whethersuch terms or information constitute “significant new factors” and consequently trigger the needfor a supplement to the Base <strong>Prospectus</strong> under Article 16 of the <strong>Prospectus</strong> Directive.][The proceeds of any issue of Trust Certificates should not be accepted in the United Kingdom.]1. Issuer and Trustee: <strong>NIG</strong> Sukuk Ltd2. Obligor and Mudarib: National Industries Group Holding Company S.A.K.(<strong>NIG</strong>)3. Series Number: [ ]4. Specified Currency: [ ]5. Aggregate Face Amount of Series: [ ]6. Issue Price: 100 per cent. of the Aggregate Face Amount7. Specified Denominations: [ ](this means the minimum[ ]integral amount in which(N.B. If an issue of Trust Certificates is (i) NOT admittedtransfers can be made)to trading on an European Economic Area exchange;and (ii) only offered in the European Economic Area incircumstances where a prospectus is not required tobe published under the <strong>Prospectus</strong> Directive, the€50,000 minimum denomination is not required.)8. (a) Issue Date: [ ]26

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