0001408100-21-000132.txt : 20211007 0001408100-21-000132.hdr.sgml : 20211007 20211007063035 ACCESSION NUMBER: 0001408100-21-000132 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 13 CONFORMED PERIOD OF REPORT: 20211007 ITEM INFORMATION: Other Events ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20211007 DATE AS OF CHANGE: 20211007 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Kennedy-Wilson Holdings, Inc. CENTRAL INDEX KEY: 0001408100 STANDARD INDUSTRIAL CLASSIFICATION: REAL ESTATE [6500] IRS NUMBER: 260508760 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-33824 FILM NUMBER: 211311028 BUSINESS ADDRESS: STREET 1: 151 S EL CAMINO DR CITY: BEVERLY HILLS STATE: CA ZIP: 90212 BUSINESS PHONE: 310-887-6400 MAIL ADDRESS: STREET 1: 151 S EL CAMINO DR CITY: BEVERLY HILLS STATE: CA ZIP: 90212 FORMER COMPANY: FORMER CONFORMED NAME: Prospect Acquisition Corp DATE OF NAME CHANGE: 20070727 8-K 1 kw-20211007.htm 8-K kw-20211007
0001408100false00014081002021-10-072021-10-07


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
_____________

FORM 8-K
_____________
CURRENT REPORT

Pursuant to Section 13 or 15(d) of
The Securities Exchange Act of 1934

Date of Report (Date of earliest event reported):
October 7, 2021
_____________
KENNEDY-WILSON HOLDINGS, INC.
(Exact name of registrant as specified in its charter)
_____________

                
Delaware001-3382426-0508760
 (State or other jurisdiction
 of Incorporation)
(Commission File Number)(IRS Employer Identification No.)

151 S El Camino Drive Beverly Hills, California 90212
(Address of principal executive offices)(Zip Code)

(310) 887-6400
(Registrant’s telephone number, including area code)

N/A
(Former name or former address, if changed since last report)
_____________


Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instructions A.2.):

    Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
    Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
    Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
    Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))




(See definition of “large accelerated filer," "accelerated filer," "smaller reporting company” and "emerging growth company" in Rule 12b-2 of the Exchange Act). (Check one):
Large accelerated filer  Accelerated filer
Non-accelerated filer  Smaller reporting company
Emerging growth company
Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).     Yes      No
Securities registered pursuant to Section 12(b) of the Act:
Title of each classTrading Symbol(s)Name of each exchange on which registered
Common stock, $.0001 par valueKWNYSE
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.     





Item 8.01 Other Events.

On October 7, 2021, Kennedy Wilson Europe Real Estate Limited (formerly known as Kennedy Wilson Europe Real Estate Plc) (the “Issuer”), a wholly owned subsidiary of Kennedy-Wilson Holdings, Inc. (the “Company” or “we”), announced the Make Whole Redemption Price (as defined in the Conditions) in connection with its previously announced election to redeem, on October 11, 2021 (the “Optional Redemption Date”), £219,810,000 in aggregate nominal amount of its outstanding 3.95% sterling-denominated Bonds due 2022 (the “Bonds”). Following the redemption, no Bonds will remain outstanding. The Issuer previously provided notice of such redemption and the Make Whole Redemption Price to the holders of the Bonds (the “Bondholders”) in accordance with the terms of the Terms and Conditions of the Bonds (the “Conditions”). In accordance with the Conditions, the aggregate nominal amount of the Bonds called for redemption will be redeemed at the Make Whole Redemption Price of £1,024.96 per £1,000 in principal amount of the Bonds. In addition, an amount equal to £11.15 per £1,000 in principal amount of the Bonds in respect of interest accrued to (but excluding) the Optional Redemption Date shall be payable in respect of all of the Bonds called for redemption.

The Company expects the redemption to be completed on October 11, 2021.

Item 9.01 FINANCIAL STATEMENTS AND EXHIBITS

(d) Exhibits
Exhibit No.
Description
99.1
104Cover Page Interactive Data File - The cover page interactive data file does not appear in the interactive data file because its XBRL tags are embedded within the inline XBRL document.








SIGNATURES
    
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
 
                    
    
KENNEDY-WILSON HOLDINGS, INC.
By:/s/ JUSTIN ENBODY
Justin Enbody
Chief Financial Officer


Date: October 7, 2021


EX-99.1 2 kw-makewholeredemptionpric.htm REGULATORY NEWS RELEASE OF KENNEDY WILSON EUROPE REAL ESTATE LIMITED Document

Exhibit 99.1

THIS ANNOUNCEMENT RELATES TO THE DISCLOSURE OF INFORMATION THAT QUALIFIED OR MAY HAVE QUALIFIED AS INSIDE INFORMATION WITHIN THE MEANING OF ARTICLE 7(1) OF THE MARKET ABUSE REGULATION (EU) 596/2014 (AS IT FORMS PART OF DOMESTIC LAW BY VIRTUE OF THE EUROPEAN UNION (WITHDRAWAL) ACT 2018)
NOTICE OF MAKE WHOLE REDEMPTION PRICE
to the holders of the outstanding
Sterling-denominated 3.95 per cent. Bonds due 2022 (ISIN: XS1117292554)
(the “Bonds”)
issued by
Kennedy Wilson Europe Real Estate Limited
(formerly known as Kennedy Wilson Europe Real Estate Plc)
(the “Issuer”)
NOTICE IS HEREBY GIVEN to the holders of the Bonds (the “Bondholders”) of the Make Whole Redemption Price, following the publication by the Issuer on 8 September 2021 of a notice announcing that it had elected to redeem all of the outstanding Bonds in accordance with (i) Condition 5(c) (Redemption at the Option of the Issuer) of the Terms and Conditions of the Bonds (the “Conditions”) and (ii) the terms of the permanent global bond representing the Bonds.
Terms used in this notice but not defined herein shall have the meaning given them in the Conditions.
In accordance with Condition 5(c), the aggregate nominal amount of the Bonds called for redemption will be redeemed on 11 October 2021 (the “Optional Redemption Date”) at the Make Whole Redemption Price, together with interest accrued to (but excluding) the Optional Redemption Date.
The Issuer appointed Chatham Financial Europe, Ltd (such appointment having been approved by the Trustee in accordance with Condition 5(c)) as the Financial Adviser for the purposes of (i) reporting the relevant price referred to in the definition of Make Whole Redemption Price and (ii) calculating the Gross Redemption Yield.

Following the calculation of the Make Whole Redemption Price in accordance with Condition 5(c) on the date of this notice, such date being the second business day in London prior to the Optional Redemption Date, the Make Whole Redemption Price per Calculation Amount is hereby confirmed as £1,024.96 amounting to a total of £225,296,431.03 in respect of all of the Bonds called for redemption. In addition, an amount equal to £11.15 per Calculation Amount in respect of interest accrued to (but excluding) the Optional Redemption Date shall be payable, amounting to a total of £2,450,128.73 in respect of all of the Bonds called for redemption.

In accordance with the Conditions, all of the Bonds called for redemption will be cancelled and may not be re-issued or resold.

For further information you may contact:
Daven Bhavsar, CFA
Vice President of Investor Relations
+1 (310) 887-3431
dbhavsar@kennedywilson.com
 
1



This notice, which is irrevocable, is given by Kennedy Wilson Europe Real Estate Limited on 7 October 2021.
This notice is released by the Issuer and contains information that qualified or may have qualified as inside information for the purposes of Article 7 of the Market Abuse Regulation (EU) 596/2014 (as it forms part of domestic law by virtue of the European Union (Withdrawal) Act 2018) (“MAR”), encompassing information relating to the partial redemption of Bonds described above. For the purposes of MAR and Article 2 of Commission Implementing Regulation (EU) 2016/1055 (as it forms part of domestic law by virtue of the European Union (Withdrawal) Act 2018), this announcement is made by Padmini Singla, General Counsel, Europe of the Issuer.
LEI Number: 213800WIL553Z1T6DZ52
 
2

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