Cancellation - Permanent Financing (No.5) PLC (5834Q)
October 21 2011 - 3:00AM
UK Regulatory
TIDM89NM
RNS Number : 5834Q
Official List
21 October 2011
NOTICE OF CANCELLATION OF LISTING FROM THE OFFICIAL LIST
21/10/2011 8:00am
CANCELLATION
Permanent Financing (No.5) PLC
The Financial Services Authority ("the FSA") cancels the
securities set out below from the Official List effective from
21/10/2011 8:00am:
Series 1 Class Standard Debt (US71419NAB10)
B Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of USD1,000 &
USD10,000 each
and integral
multiples thereof)
Series 1 Class Standard Debt (US71419NAC92)
C Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of USD1,000 &
USD10,000 each
and integral
multiples thereof)
Series 2 Class Standard Debt (US71419NAE58)
B Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of USD1,000 &
USD10,000 each
and integral
multiples thereof)
Series 2 Class Standard Debt (US71419NAF24)
C Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of USD1,000 &
USD10,000 each
and integral
multiples thereof)
Series 3 Class Standard Debt (US71419NAG07)
A Floating Rate --
Notes due 10/06/2034
fully paid
(Registered in
denominations
of USD1,000 &
USD10,000 each
and integral
multiples thereof)
Series 3 Class Standard Debt (US71419NAH89)
B Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of USD1,000 &
USD10,000 each
and integral
multiples thereof)
Series 3 Class Standard Debt (US71419NAJ46)
C Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of USD1,000 &
USD10,000 each
and integral
multiples thereof)
Series 4 Class Standard Debt (XS0197061251)
A Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of EUR500,000
each and integral
multiples of
EUR1,000 thereof)(Regulation
S)
Series 4 Class Standard Debt (XS0197061764)
B Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of EUR500,000
each and integral
multiples of
EUR1,000 thereof)(Regulation
S)
Series 4 Class Standard Debt (XS0197063117)
C Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of EUR500,000
each and integral
multiples of
EUR1,000 thereof)(Regulation
S)
Series 5 Class Standard Debt (XS0197067613)
A1 5.625% Notes --
due 10/06/2042
fully paid
(Registered in
denominations
of GBP1,000 &
GBP10,000 each
& integral multiples
thereof)(Regulation
S)
Series 5 Class Standard Debt (XS0197069072)
A2 Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of GBP1,000 &
GBP10,000 each
& integral multiples
thereof)(Regulation
S)
Series 5 Class Standard Debt (XS0197070088)
B Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of GBP1,000 &
GBP10,000 each
& integral multiples
thereof)(Regulation
S)
Series 5 Class Standard Debt (XS0197070831)
C Floating Rate --
Notes due 10/06/2042
fully paid
(Registered in
denominations
of GBP1,000 &
GBP10,000 each
& integral multiples
thereof)(Regulation
S)
This notice has been issued by Listing Applications - 0207 066
8333 Option 3.
Notes
- Notices issued by the FSA in respect of cancellation of
securities from the Official List must be read in conjunction with
notices issued by the relevant Recognised Investment Exchange.
--Denotes the security is also being cancelled from trading on
the London Stock Exchange, a recognised Investment Exchange.
- SEDOL numbers which are allocated by the London Stock Exchange
as a Stock Exchange identifier may be found on their dealing
notice.
Denotes the security is also being cancelled from trading on
PLUS Markets Group, a recognised Investment Exchange.
#Denotes the security is also being cancelled from trading on
NYSE Euronext London, a recognised Investment Exchange.
This information is provided by RNS
The company news service from the London Stock Exchange
END
NOTPGGRWUUPGGMU
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