9/7/2015

Semi-annual interest coupon payment in respect of Notes issued by Titan Global Finance plc

ANNOUNCEMENT
SEMI-ANNUAL INTEREST COUPON PAYMENT IN RESPECT OF NOTES DUE IN 2017 AND 2019
ISSUED BY TITAN GLOBAL FINANCE PLC

It is hereby announced that the semi-annual interest payment to the coupon holders in respect of the €300 million and €200 million Notes due in 2019 and 2017 respectively, issued by TITAN GLOBAL FINANCE PLC and guaranteed by Titan Cement Company S.A., which are listed  on the Luxembourg Stock Exchange, will be promptly made on the designated payment dates of the Notes, i.e. on 10th July 2015 and 20th July 2015 respectively, through the Paying Agents, “Societe Generale Bank and Trust” and “Bank of America N.A.” respectively. The issuer has already remitted the amounts due to the Paying Agents.

The temporary suspension of trading of the aforesaid Notes on the Luxembourg Stock Exchange, - which has been imposed by the Luxembourg Commission de Surveillance du Secteur Financier (CSSF) following the decision of the Hellenic Capital Market Commission pursuant to which the ATHEX regulated market shall remain closed throughout the period of bank holiday in Greece - shall not in any way affect the aforementioned interest coupon payments. The Issuer has already protested against this decision and has applied to the competent authorities in Luxembourg requesting the revocation of the trading suspension.