RNS Number : 1900L Propifi Bonds PLC 06 July 2026  

Interest payment announcement

30 June 2026

LEI: 98450046C4Z35AF35258

Propifi Bonds plc & MTN Funding plc (the "Issuers")

Interest payments on notes issued under the Issuers'

medium-term note programmes (the "Programmes")

2025-F11-EUR secured fixed-rate notes due 2030 CH1108682043 (MTN Funding plc)

2025-F10-USD secured fixed-rate notes due 2030 GB00BS6XKJ76

2025-F9-EUR secured fixed-rate notes due 2030 GB00BS6XKH52

2025-F8-GBP secured fixed-rate notes due 2030 GB00BS6XKG46

2022-F1 EUR secured fixed-rate notes due 2028 GB00BMFXJ334

2022-F1 USD secured fixed-rate notes due 2028 GB00BMFXJ557

2022-F1 GBP secured fixed-rate notes due 2028 GB00BMFXJ441

(together, the "Notes")

Payment of due interest was made to holders of the Notes on the Interest Payment Date of 30 June 2026.

These payments and the payment of interest due to holders of Notes on all preceding Interest Payment Dates are set out in the tables below. Capitalised terms not defined here have the meanings given to them in the conditions applicable to the notes of the series described above.

2025-F11-EUR secured fixed-rate notes

(due 2030)

ISIN

CH1108682043

Calculation Amount

£100,000.00

Issue Date

22-Sep-2025

Interest Payment Date

Fixed Coupon Amount paid (per Calculation Amount)

30 Sep 2025

€222.00

31 Dec 2025

€2,525.00

31 Mar 2026

€2,525.00

30 June 2026

€2,525.00

Wave Three

(due 2030)

ISIN

GB00BS6XKG46

GB00BS6XKH52

GB00BS6XKJ76

Calculation Amount

£100,000.00

$100,000.00

€100,000.00

Issue Date

20-Jan-2025

20-Jan-2025

20-Jan-2025

Interest Payment Date

Fixed Coupon Amount paid (per Calculation Amount)

30 Jun 2025

£2,025.00

$2,025.00

€2,025.00

31 Mar 2025

£2,025.00

$2,025.00

€2,025.00

30 June 2025

£2,525.00

$2,525.00

€2,525.00

31 Dec 2025

£2,525.00

$2,525.00

€2,525.00

30 Sep 2025

£2,525.00

$2,525.00

€2,525.00

31 Mar 2026

£2,525.00

$2,525.00

€2,525.00

30 Jun 2026

£2,525.00

$2,525.00

€2,525.00

Wave Two

(due 2028)

ISIN

GB00BMFXJ441

GB00BMFXJ557

GB00BMFXJ334

Calculation Amount

£100,000.00

$100,000.00

€100,000.00

Issue Date

10-Jan-2023

10-Jan-2023

10-Jan-2023

Link to listing

Frankfurt-GBP

Frankfurt-USD

Frankfurt-EUR

Interest Payment Date

Fixed Coupon Amount paid (per Calculation Amount)

30 Jun 2023

£1,797.00

$1,797.00

€1,797.00

31 Mar 2023

£1,797.00

$1,797.00

€1,797.00

30 Jun 2023

£2,525.00

$2,525.00

€2,525.00

30 Sep 2023

£2,525.00

$2,525.00

€2,525.00

31 Dec 2023

£2,525.00

$2,525.00

€2,525.00

31 Mar 2024

£2,525.00

$2,525.00

€2,525.00

30 Jun 2024

£2,275.00

$2,275.00

€2,275.00

30 Sep 2024

£2,275.00

$2,275.00

€2,275.00

31 Dec 2024

£2,275.00

$2,275.00

€2,275.00

31 Mar 2025

£2,275.00

$2,275.00

€2,275.00

30 June 2025

£2,025.00

$2,025.00

€2,025.00

30 Sep 2025

£2,025.00

$2,025.00

€2,025.00

31 Dec 2025

£2,275.00

$2,275.00

€2,275.00

31 Mar 2026

£2,025.00

$2,025.00

€2,025.00

30 Jun 2026

£2,025.00

$2,025.00

€2,025.00

Please click to access the Programme Listing Particulars and the pricing supplements for the above series from propifibonds.co.uk.

Regulatory and payment announcements

Propifi Bonds plc publishes a quarterly announcement of interest payments for all series in issue using the Regulatory News Service (RNS) of the London Stock Exchange. A record of these announcements is maintained by the UK financial regulator the Financial Conduct Authority (FCA) in the National Storage Mechanism (NSM).

Each previous announcement is listed below with corresponding links to the FCA website.

RNS ID

Announcement

4585E

30 June 2021 interest payment made to noteholders

9280Z

31 December 2021 interest payment made to noteholders

9634G

31 March 2022 interest payment made to noteholders

2267R

30 June 2022 interest payment made to noteholders

0477B

30 September 2022 interest payment made to noteholders

7044L

31 December 2022 interest payment made to noteholders

1415V

31 March 2023 interest payment made to noteholders

7913E

Correction to 31 March 2023 announcement

7917E

30 June 2023 interest payment made to noteholders

4241O

30 September 2023 interest payment made to noteholders

2606Y

31 December 2023 interest payment made to noteholders

8725J

31 March 2024 interest payment made to noteholders

8700U

30 June 2024 interest payment made to noteholders

8459F

3393R

30 September 2024 interest payment made to noteholders

31 December 2024 interest payment made to noteholders

2147D

0403P

5657C

4001O

31 March 2025 interest payment made to noteholders

30 June 2025 interest payment made to noteholders

30 September 2025 interest payment made to noteholders

31 December 2025 interest payment made to noteholders

8972Y

31 March 2026 interest payment made to noteholders

All payments due to noteholders under the Programme have been made in full since the Programme's launch in 2020. There have been no Events of Default under any series of notes issued by Propifi Bonds plc.

Propifi Capital Ltd

The proceeds of investment in the notes are loaned to Propifi Capital Ltd for the making of bridging loans. Propifi Capital specialises in issuing secured first-charge bridging loans to commercial property developers in the UK, with a particular focus on assisted living, retirement and social housing. These markets face a significant supply shortage.

Truva Corp

Truva Corp is the trustee of the Notes.  Truva is a professional provider of trustee and capital markets administrative services. Truva works with corporate clients, specialist lenders and asset managers to develop structures that enable the raising of capital.

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