LSE:UBM


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Debt Investors

 

Our funding strategy is to maintain a balance between continuity of funding and flexibility through the use of capital markets, bank loans and overdrafts. To facilitate access to these sources of funds we seek to maintain long term investment grade rating on our long term debt from Moody's (current rating Baa3) and Standard & Poor's (current rating BBB - stable outlook)

Debt investors are key stakeholders in UBM plc and we are committed to keeping all our investors up to date on developments at UBM plc. To obtain further information please contact:

Head of Treasury, UBM plc
Tel: +44 (0) 207 921 5010
 

To download the prospectus on our term debt issues please click below

$350m maturity- 3rd November 2020
£250m maturity- 23rd November 2016