DEBT RESTRUCTURING AND SCHEMES OF ARRANGEMENT
MONGOLIAN MINING CORPORATION
(THE “COMPANY”)
US $600 Million 8.875% Guaranteed Senior Secured Notes due March 29, 2017 (CUSIPs G6264VAA0 and 60937CAA3, ISINs USG6264VAA01 and US60937CAA36) (the "Old Notes")
Introduction
Reference is made to the Cayman Islands scheme of arrangement sanctioned by the Grand Court of the Cayman Islands on 24 April 2017 between the Company and the Scheme Creditors (as defined therein) under section 86 of the Companies Law (2016 Revision) (the "Cayman Scheme") and the Hong Kong scheme of arrangement sanctioned by the High Court of Hong Kong on 25 April 2017 between the Company and the Scheme Creditors (as defined therein) under sections 673 and 674 of the Companies Ordinance (Cap. 622) of Hong Kong (the "Hong Kong Scheme" and, together with the Cayman Scheme, the "Schemes").
Defined terms used herein have the meanings given to them in the Schemes, unless otherwise stated.
Publicly Available Information
As regards the New Notes and the New Perpetual Notes issued pursuant to the Schemes and the Restructuring, please be advised that:
1. The Explanatory Statement in respect of the Schemes is publically available on the website of the Singapore Exchange Securities Trading Limited (where the New Notes and New Perpetual Notes are listed) at: http://infopub.sgx.com/SitePages/ProspectusDetails.aspx?F=29373. Such Explanatory Statement includes, amongst other things, a summary of the terms of the New Notes and the New Perpetual Notes.
2. The indentures in respect of the New Notes and the New Perpetual Notes are publically available on the website of U.S. Securities and Exchange Commission at:
a. https://www.sec.gov/Archives/edgar/data/1700489/000095010317003992/dp75459_ex-t3c1.htm; and
b. https://www.sec.gov/Archives/edgar/data/1700489/000095010317003992/dp75459_ex-t3c2.htm
Information available to Scheme Creditors
If you are a Scheme Creditor and you require further information in connection with the Schemes, please contact Lynchpin for access to the Scheme Website maintained by Lynchpin in its capacity as Information Agent in respect of the Schemes.
Kindly provide your name, company name, address, phone number, reference ISIN/CUSIP, custodian name, account number, and position to: mminfo@lynchpinbm.com
The Company has retained Lynchpin Bondholder Management Limited as Information Agent. Any questions or requests for assistance or for additional copies of related documents may be directed to the Information Agent at:
Lynchpin Bondholder Management Limited
Tel: +852 2526 5406
E-Mail: mminfo@lynchpinbm.com
Attention: Michelle Michaels
Room 402, Wellington Plaza
56-58 Wellington Street
Central, Hong Kong