WisdomTree Multi Asset Issuer Public Limited Company Programme for the issuance of Collateralised ETP Securities
WisdomTree Multi Asset Issuer PLC
LEI: 2138003QW2ZAYZODBU23
23 October 2020
WisdomTree Multi Asset Issuer Public Limited Company
Programme for the issuance of Collateralised ETP Securities
Splits of the Collateralised ETP Securities of the following classes
WisdomTree NASDAQ 100 3x Daily Leveraged
Further to the announcement (the “First Announcement”) made by WisdomTree Multi Asset Issuer Public Limited Company (the “Issuer”) on 9 October 2020 relating to its determination to effect splits (the “Splits”) of the WisdomTree NASDAQ 100 3x Daily Leveraged Securities (the “Affected Securities”), the Issuer hereby announces the following details in respect of the Splits.
The time and date that the Splits will become effective (the “Effective Date”) will be the open of business on 9 November 2020.
The Specified Number (the number of Split Securities of the relevant class that will result from the split from each Affected Security of that class pursuant to the Splits) and the Principal Amount for the Split Securities of each class will be as follows:
Class | LSE exchange code | Specified Number | Principal Amount |
WisdomTree NASDAQ 100 3x Daily Leveraged | QQQ3 | 30 | US$0.0666667 |
Annex 1 to this announcement, entitled “Existing and New Security Identifiers for Trading Lines of The Affected Securities” sets out the new ISINs, SEDOLs and WKN codes for the Split Securities of each class which will also become effective from the open of business on the Effective Date.
Terms used in this announcement and not otherwise defined bear the same meanings as where used in the First Announcement or, if not defined therein, in the prospectus of the Issuer relating inter alia to the Affected Securities dated 2 September 2020.
For further information, please refer to our website at www.wisdomtree.eu or contact InfoEU@wisdomtree.com
Annex 1
EXISTING AND NEW SECURITY IDENTIFIERS FOR TRADING LINES OF THE AFFECTED SECURITIES
New ISINs, SEDOLs and WKN Codes are to become effective from the open of business on the Effective Date of the Splits
Class | Exchange | Exchange Ticker | Existing ISIN | Existing SEDOL | Existing WKN | New ISIN | New SEDOL | New WKN |
| London Stock Exchange | QQQ3 | IE00B8W5C578 | B8W5C57 | A1VBKU | IE00BLRPRL42 | BKSB219 | A3GL7E |
London Stock Exchange | LQQ3 | IE00B8W5C578 | B921H79 | A1VBKU | IE00BLRPRL42 | BKSB2C0 | A3GL7E | |
Borsa Italiana | QQQ3 | IE00B8W5C578 | BD3CSY3 | A1VBKU | IE00BLRPRL42 | BKSB264 | A3GL7E | |
Xetra | 3QQQ | DE000A133ZY6 | BSJCNF8 | A133ZY | No change | No change | No change |