Bedell Channel Islands Ltd Current Member | TISE
Bedell Channel Islands Limited ("BCIL") is a leading category 1 and 2 listing member of TISE and part of the Bedell Cristin Group.
BCIL, acting through its Jersey, Guernsey and London offices, offers listing services and regularly acts as listing agent or sponsor to  issuers listing specialist securities (including High Yield Bonds, Eurobonds and other Debt Securities), REITS, investment vehicles and trading company shares on TISE.
Our team includes dedicated and knowledgeable professionals who are able to advise on all aspects of TISE rules and procedures and will be responsible for all aspects of the listing process.  As part of the Bedell Cristin Group, legal advice and support can also be provided through our global network of offices, which include BVI, Cayman, Guernsey, Jersey, London and Singapore.
Consistently ranked one of the top law firms offshore and highly rated for the professionalism and technical expertise of its lawyers, Bedell Cristin provides an efficient service tailored to the needs of clients and intermediaries.
Bedell Cristin, established in 1939, with a primary focus on corporate and finance law provides legal services to the banking and finance industry, real-estate and private equity funds, REITs, trading companies, structured finance vehicles and private wealth clients worldwide.

Bedell Cristin
26 New Street
St Helier
Jersey
JE2 3RA

Contact:
Alasdair Hunter

E-mail:
Alasdair.Hunter@bedellcristin.com

Telephone:
01534 814814

Contact:
Louise Ridgway

E-mail:
louise.ridgway@bedellcristin.com

Telephone:
01534 814814

Website:
www.bedellcristin.com
126 results
Name & Mnemonic
Type
Bond
GBP7,900,000 8.02% unsecured loan notes due 2026
Bond
GBP7,835,000 Secured Loan Notes due 2025
Bond
USD458,344,682 Abra Senior Secured Exchangeable Notes due 2028
Bond
USD136,787,982 Additional Abra Senior Secured Exchangeable Notes due 2028
Bond
USD517,820,001 Senior Secured Notes due 2029
Bond
GBP4,995,000 10% Loan Notes due 2024
Bond
EUR88,017,639.43 Unsecured Revolving Profit Participating Notes due 2031
Bond
GBP45,824,250.79 Inflation Linked Secured Notes due 2072
Bond
GBP4,639,950 7.5% p.a. fixed rate unsecured subordinated loan notes due 2027
Ark AP1 Ltd
ARKAP1LN
Bond
GBP88,319,388.71 Class L unsecured loan notes due 2038
Bond
GBP316,313,906.45 Class A unsecured loan notes due 2038
Bond
GBP47,420,693.29 Class B unsecured loan notes due 2038
Bond
GBP47,983,731.61 Class C unsecured loan notes due 2038
Bond
GBP36,760,809.31 Class D unsecured loan notes due 2038
Bond
GBP153,299,344.05 Class E unsecured loan notes due 2038
Bond
GBP403,990,813.47 Class F unsecured loan notes due 2038
Bond
GBP200,036,607.83 Class G unsecured loan notes due 2038
Ark UP1 Ltd
ARKUP1LN
Bond
GBP133,055,345.41 Class H unsecured loan notes due 2038
Ark UP2 Ltd
ARLUP2LN
Bond
GBP205,062,726.11 Class I unsecured loan notes due 2038
Ark UP3 Ltd
ARKUP3LN
Bond
GBP192,938,062.53 Class J unsecured loan notes due 2038
Ark UP4 Ltd
ARKUP4LN
Bond
GBP28,391,965.56 Class K unsecured loan notes due 2038
Bond
GBP252,000,000 5% Unsecured Loan Notes due 2027
Equity
voting participating redeemable ordinary no par value shares
Bond
USD2,774,097 9.000% Tranche A-1 Senior Secured Notes Due 2028
Bond
USD1,000,000,000 9.625% Senior Secured Notes due 2030
Bond
USD1,109,157,474 9.00% Senior Secured Notes due 2028
Bond
GBP327,500,211.14 unsecured profit participation notes due 31 December 2041
Bond
EUR102,853,185 Notes
Bond
GBP149,993,000 unsecured profit participation notes due 31 December 2041
Bond
GBP176,574,000 Unsecured Profit Participation Notes due 31 December 2041
Bond
GBP797,506,537.63 Variable Rate Loan Notes due 31 December 2032
Bond
EUR1,368,415,633.22 unsecured revolving profit participating notes due 2029
Equity
ordinary GBP1.00 shares
Bond
EUR134,113,587.54 unsecured redeemable loan notes due 2034
Brook Midco Ltd
BROOKM31
Bond
GBP131,840,568.09 10.1% Unsecured Redeemable Loan Notes 2031
Bond
GBP73,000,000 5.6 per cent unsecured Series A Senior Notes due 2029
Bond
GBP17,300,000 10 per cent unsecured Series B Subordinated Notes due 2029
Bond
GBP6,413,000 fixed rate unsecured loan notes due 08 June 2032
Bond
EUR41,981,175 8.75% unsecured redeemable loan notes 2033
Bond
EUR3,924,952 8.75% Unsecured Redeemable Payment in Kind Notes 2033
Bond
GBP3,880,000 8.25% p.a. fixed rate unsecured subordinated loan notes due 2027
Bond
GBP19,500,000 13% Unsecured Loan Notes due 2029
Equity
ordinary no par value shares
Bond
GBP118,300,000 Fixed Rate Loan Notes 2027
Bond
EUR243,506,159 secured notes
CLI Holdings Ltd
CLIHOLDI
Bond
EUR119,234,273 secured notes
Bond
GBP3,860,000 9% p.a. fixed rate unsecured subordinated loan notes due 2027
Bond
GBP201,132,748.69 5 per cent. loan notes due 25 October 2025
Equity
ordinary GBP1.00 shares
Bond
EUR356,573,837.95 unsecured revolving profit participating notes due 2026
Envoy Bidco Ltd
ENVBIDLN
Bond
USD76,894,729 floating rate unsecured redeemable loan notes due 2029
Envoy Bidco Ltd
ENVBIDPK
Bond
USD7,367,783 Floating Rate Unsecured Redeemable Payment in Kind Notes due 2029
Bond
USD750,000,000 6.875% Senior Notes due 2027
Bond
USD1,300,000,000 8.625% Senior Notes due 2031
Bond
USD1,600,000,000 9.375% Senior Secured Second Lien Notes due 2029
Bond
USD1,000,000,000 8.000% Senior Notes due 2033
Bond
EUR223,500,000 Profit Participating Notes
Bond
USD13,250,000 Profit Participating Notes
G2M PRS Ltd
G2CAPILN
Bond
GBP37,104,000 15% unsecured loan notes with emergency funding
Bond
GBP78,962,933 12% unsecured loan notes
Equity
USD Class Units
Equity
USD Class Units
Bond
GBP40,279,330.15 Variable Rate Loan Notes
Bond
GBP32,750,000 7.79 per cent. unsecured loan notes due June 2031
Bond
GBP5,700,000 10% p.a. fixed rate unsecured subordinated loan notes due 2029
Bond
GBP20,426,000 Unsecured Profit Participating Notes due 31 October 2037
Bond
GBP92,741,354 7.5% loan notes due 2030
LED Midco Ltd
LEDMLN33
Bond
GBP7,965,509.24 12% Unsecured A Loan Notes 2033
Bond
GBP5,140,000 9 per cent per annum Fixed Rate Unsecured Subordinated Loan Notes due 2027
Bond
EUR31,536,865.89 variable funding Junior Notes
Bond
EUR1,392,131.74 variable funding note
Lion Midco Ltd
LIONLNOT
Bond
GBP116,543,218.21 10.1% Unsecured Redeemable Loan Notes 2031
Equity
ordinary GBP0.01 shares
Equity
ordinary GBP0.01 shares
Bond
GBP1,925,000 7% p.a. fixed rate unsecured subordinated loan notes due 2025
Equity
ordinary GBP0.000001 shares
Bond
GBP18,501,515 10% p.a. fixed rate unsecured loan notes due 2028
Netflix, Inc.
NETFLXSN
Bond
EUR1,300,000,000 3.625% Senior Notes due 2027
Netflix, Inc.
NETFLSNT
Bond
EUR1,100,000,000 4.625% Senior Notes due 2029
Netflix, Inc.
NETFXEUR
Bond
EUR1,200,000,000 3.875% Senior Notes due 2029
Netflix, Inc.
NETFLXSL
Bond
EUR1,100,000,000 3.625% Senior Notes due 2030
Netflix, Inc.
NETSEN25
Bond
EUR470,000,000 3.000% Senior Notes due 2025
Bond
NOK43,999,838 10% p.a. fixed rate unsecured loan notes due 2026
Odin Holdco Ltd
ODINLNTS
Bond
GBP58,953,026.65 12% Unsecured Redeemable Loan Notes 2031
Bond
GBP2,061,997 12.10% Unsecured Subordinated Loan Notes
Osprey Midco Ltd
OSPRLNNT
Bond
GBP60,000,000 12% unsecured redeemable AF bridging loan notes 2027
Bond
EUR72,344,634.20 12% unsecured redeemable loan notes 2025
Bond
EUR17,214,671.82 12% unsecured redeemable PIK Notes 2025
Equity
ordinary GBP1.00 shares
Bond
GBP180,063,000 Series A Notes due 2029
Bond
GBP12,700,000 Series A Notes due 2029
Bond
GBP59,000,000 Series A Notes due 2029
Bond
GBP96,400,000 Series A Notes due 2029
PELF UK Ltd
PELFUL
Equity
ordinary GBP1.00 shares
Bond
GBP58,910,164 12% Unsecured Redeemable Loan Notes 2032
Ruby Midco I Ltd
RUBYMDLN
Bond
GBP105,942,680.77 10% unsecured redeemable loan notes 2033
Ruby Midco I Ltd
RUBYMDPN
Bond
GBP18,772,877 10% unsecured redeemable payment in kind notes 2033
Bond
USD48,100,000 loan notes due May 2027
Bond
EUR38,270,272.73 loan notes due July 2027
Bond
GBP235,271,270 trust certificates due 2025
Bond
GBP40,400,000 3.75% p.a. fixed rate unsecured subordinated loan notes due 2025
Bond
GBP5,335,000 Class A 5 per cent. per annum fixed rate notes due 2037
Bond
GBP300,000 Class B 9.5 per cent. per annum fixed rate notes due 2037
Bond
GBP36,686,520 variable funding notes due 2030
Spark Midco Ltd
SPARKMLN
Bond
GBP47,208,771 Unsecured Co-Investor Loan Notes 2031
Bond
GBP185,632,830 9% Unsecured Loan Notes 2037
Bond
EUR0 Class A Notes
Bond
EUR0 Class B Notes
Bond
EUR0 Class C Notes
Bond
GBP28,066 Unsecured Investor Loan Notes 2025
Stone REITCo Ltd
STONEL-ST
Equity
Ordinary Shares of GBP1.00 each
Bond
GBP13,632,304 fixed rate unsecured loan notes 2031
Bond
GBP3,162,660 fixed rate unsecured payment-in-kind notes
Equity
Ordinary Shares of GBP0.01 each
Bond
GBP17,000,000 9.% p.a. Fixed Rate Unsecured Loan Notes due 15 October 2029
Bond
GBP18,002,784 10% fixed rate unsecured A loan notes 2029
Bond
GBP2,069,337 10% fixed rate unsecured A payment in kind notes 2029
Bond
GBP3,500,000 15% fixed rate unsecured A1 loan notes
Bond
GBP19,780,495 Unsecured Class A Loan Notes due 2029
Bond
GBP57,010,281 Unsecured Class B Loan Notes due 2029
Equity
Ordinary GBP1.00 Shares
Bond
GBP157,772,575.05 Trust Certificates due 2028
Viva Midco Ltd
VIVA2028
Bond
GBP690,307,368.87 loan notes due 2028
Bond
GBP9,136,196.65 10% unsecured loan notes due 2028
Equity
ordinary GBP0.01 shares
Equity
ordinary GBP0.01 shares