Keystone Investment Trust plc announced that it intends to redeem all of the outstanding 6.5% Bonds 2023 on 13 March 2020. In accordance with the trust deed constituting them, the Bonds will be redeemed at £118.41 per £100 in principal amount. Each Bondholder will receive an amount equal to the Redemption Price multiplied by the amount of Bonds held. Accrued interest up to and including the Redemption Date will be sent to Bondholders under separate cover. The Redemption Amount will be paid to all Bondholders as at 10 February 2020.