Centaur Group Finance Ltd-Segregated Account #5 - Tranche #016 Bond Due July 10, 2021 International Debt Issuer Centaur Group Finance Ltd-Segregated Account #3 - Centaur Natural Resources Bond Programme 3 Domicile Bermuda Listing Date 12 Jul 2018 Currency GBP Maturity Date 10 Jul 2021 Investors Qualified Investors Status Suspended