TIDM91AG 
 
RNS Number : 6970Z 
Permanent Master Issuer PLC 
25 September 2009 
 

25 September 2009 
Permanent Master Issuer PLC (the Master Issuer) 
The following is a notice to the holders of the 2006-1 Notes (as defined below) 
issued by the Master Issuer on 17 October 2006, the holders of the 2007-1 Notes 
(as defined below) issued by the Master Issuer on 23 February 2007, the holders 
of the 2008-1 Notes (as defined below) issued by the Master Issuer on 23 April 
2008 and the holders of the 2008-2 Notes (as defined below) issued by the Master 
Issuer on 28 May 2008. 
The Master Issuer wishes to give notice to the holders (the 2006-1 Noteholders) 
of the: 
$1,750,000,000 Series 2 Class A Asset Backed Floating Rate Notes due October 
2015 (ISIN: US71419GAB68 - Common Code: 02710648 - CUSIP: 
71419GAB6) 
 CAN$350,000,000 Series 3 Class A Asset Backed Floating Rate Notes 
due July 2033 (ISIN: CAG7014RAQ51 - Common Code: 027124968 - CUSIP: 
G7014RAQ5) 
 EUR500,000,000 Series 4 Class A1 Asset Backed Floating Rate Notes 
due October 2015 (ISIN: XS0270510067 - Common Code: 027051006 - CUSIP: 
N/A) 
 EUR1,750,000,000 Series 4 Class A2 Asset Backed Floating Rate Notes due 
July 2033 (ISIN: XS0270510653 - Common Code: 027051065 - CUSIP: 
N/A) 
 $1,500,000,000 Series 5 Class A Asset Backed Floating Rate Notes due 
July 2033 (ISIN: US71419GAG55 - Common Code: 027124623 - CUSIP: 
71419GAG5) 
 GBP500,000,000 Series 6 Class A1 Asset Backed Floating Rate Notes 
due April 2020 (ISIN: XS0270511628 - Common Code: 027051162 - CUSIP: 
N/A) 
 GBP600,000,000 Series 6 Class A2 Asset Backed Floating Rate Notes due 
April 2020 (ISIN: XS0270512279 - Common Code: 027051227 - CUSIP: 
N/A) 
 $134,900,000 Series 2 Class B Asset Backed Floating Rate Notes due July 
2042 (ISIN: US71419GAD25 - Common Code: 027107788 - CUSIP: 
71419GAD2) 
 EUR129,300,000 Series 4 Class B Asset Backed Floating Rate Notes 
due July 2042 (ISIN: XS0270510810 - Common Code: 027051081 - CUSIP: 
N/A) 
 $134,900,000 Series 2 Class C Asset Backed Floating Rate Notes due July 
2042 (ISIN: US71419GAF72 - Common Code: 027107044 - CUSIP: 
71419GAF7) 
 EUR129,300,000 Series 4 Class C Asset Backed Floating Rate Notes 
due July 2042 (ISIN: XS0270511115 - Common Code: 027051111 - CUSIP: N/A) 
(together, the 2006-1 Notes) 
and to the holders (the 2007-1 Noteholders) of the: 
$1,500,000,000 Series 2 Class A1 Asset Backed Floating Rate Notes due January 
2016 (ISIN: US71419GAJ94 - Common Code: 28918941 - CUSIP: 
71419GAJ9) 
 $1,000,000,000 Series 2 Class A2 Asset Backed Floating Rate Notes 
due January 2016 (ISIN: US71419GAK67 - Common Code: 28919026 - CUSIP: 
71419GAK6) 
 EUR1,500,000,000 Series 3 Class A Asset Backed Floating Rate Notes 
due October 2033 (ISIN: XS0288090342 - Common Code: 28809034 - CUSIP: 
N/A) 
 $1,350,000,000 Series 4 Class A Asset Backed Floating Rate Notes due 
October 2033 (ISIN: US71419GAL41 - Common Code: 28919115 - CUSIP: 
71419GAL4) 
 GBP650,000,000 Series 5 Class A Asset Backed Floating Rate Notes 
due October 2033 (ISIN: XS0288093957 - Common Code: 28809395 - CUSIP: 
N/A) 
 GBP83,600,000 Series 2 Class B Asset Backed Floating Rate Notes due 
July 2042 (ISIN: XS0288097511 - Common Code: 28809751 - CUSIP: 
N/A) 
 GBP41,300,000 Series 4 Class B Asset Backed Floating Rate Notes due 
July 2042 (ISIN: XS0288100836 - Common Code: 28810083 - CUSIP: N/A) 
 
 GBP83,600,000 Series 2 Class C Asset Backed Floating Rate Notes due July 
2042 (ISIN: XS0288102709 - Common Code: 28810270 - CUSIP: N/A) 
 GBP41,300,000 
Series 4 Class C Asset Backed Floating Rate Notes due July 2042 (ISIN: 
XS0288104408 - Common Code: 28810440 - CUSIP: N/A) 
(together, the 2007-1 Notes) 
and to the holders (the 2008-1 Noteholders) of the: 
 
 
GBP392,900,000 Series 1 Class A1 Notes due July 2042 (ISIN: XS0359634648 - 
Common Code: 035963464 - CUSIP: N/A) 
GBP785,700,000 Series 1 Class A2 Notes due July 2042 (ISIN: XS0359634721 - 
Common Code: 035963472 - CUSIP: N/A) 
GBP1,178,600,000 Series 1 Class A3 Notes due July 2042 (ISIN: XS0359635298 - 
Common Code: 035963529 - CUSIP: N/A) 
GBP1,375,000,000 Series 1 Class A4 Notes due July 2042 (ISIN: XS0359635454 - 
Common Code: 035963545 - CUSIP: N/A) 
GBP392,900,000 Series 1 Class A5 Notes due July 2042 (ISIN: XS0359635702 - 
Common Code: 035963570 - CUSIP: N/A) 
GBP1,178,700,000 Series 1 Class A6 Notes due July 2042 (ISIN: XS0359636189 - 
Common Code: 035963618 - CUSIP: N/A) 
GBP1,571,500,000 Series 1 Class A7 Notes due July 2042 (ISIN: XS0359636262 - 
Common Code: 035963626 - CUSIP: N/A) 
GBP1,964,300,000 Series 1 Class A8 Notes due July 2042 (ISIN: XS0359636692 - 
Common Code: 035963669- CUSIP: N/A) 
GBP298,400,000 Series 1 Class B Notes due July 2042 (ISIN: XS0359636932 - 
Common Code: 035963693 - CUSIP: N/A) 
GBP298,400,000 Series 1 Class C Notes due July 2042 (ISIN: XS0359637237 - 
Common Code: 035963723 - CUSIP: N/A) 
 
 
(together, the 2008-1 Notes) 
and to the holders (the 2008-2 Noteholders) of the: 
 
 
GBP500,000,000 Series 1 Class A Notes due April 2014 (ISIN: XS0365842466 - 
Common Code: 036584246 - CUSIP: N/A) 
 
 
 (the 2008-2 Notes and together with the 2006-1 Notes, the 2007-1 Notes and the 
2008-1 Notes, the Notes) 
each issued by the Master Issuer and constituted by a Trust Deed dated 17 
October 2006 (as supplemented and amended) between the Master Issuer and The 
Bank of New York (the Trustee) as trustee for the Noteholders 
 
 
On 24 September 2009, the parties to the Master Definitions and Construction 
Schedule entered into an Amended and Restated Master Definitions and 
Construction Schedule, the parties to the Mortgage Sale Agreement entered into 
an Amended and Restated Mortgage Sale Agreement, the parties to the Servicing 
Agreement entered into an Amended and Restated Servicing Agreement, the parties 
to the Mortgages Trust Deed entered into an Amended and Restated Mortgages Trust 
Deed, the parties to the Cash Management Agreement entered into an Amended and 
Restated Cash Management Agreement, the parties to the Bank Account Agreement 
entered into an Amended and Restated Bank Account Agreement, the parties to the 
Master Issuer Master Definitions and Construction Schedule entered into an 
Amended and Restated Master Issuer Master Definitions and Construction Schedule, 
the parties to the Programme Agreement entered into an Amended and Restated 
Programme Agreement, the parties to the Master Intercompany Loan Agreement 
entered into an Amended and Restated Master Intercompany Loan Agreement, the 
parties to the Funding 2 Deed of Charge entered into a Third Supplemental 
Funding 2 Deed of Charge, the parties to the Master Issuer Trust Deed entered 
into a Fourth Supplemental Master Issuer Trust Deed, the parties to the Master 
Issuer Paying Agent Agreement entered into an Amended and Restated Master Issuer 
Paying Agent Agreement and the parties to the Master Issuer Deed of Charge 
entered into a Second Supplemental Deed of Charge . 
Copies of the Amended and Restated Master Definitions and Construction Schedule, 
the Amended and Restated Mortgage Sale Agreement, the Amended and Restated 
Servicing Agreement, the Amended and Restated Mortgages Trust Deed, the Amended 
and Restated Cash Management Agreement, the Amended and Restated Bank Account 
Agreement, the Amended and Restated Master Issuer Master Definitions and 
Construction Schedule, the Amended and Restate Programme Agreement, the Amended 
and Restated Master Intercompany Loan Agreement, the Third Supplemental Funding 
2 Deed of Charge, the Fourth Supplemental Master Issuer Trust Deed, the Amended 
and Restated Master Issuer Paying Agent Agreement and the Second Supplemental 
Deed of Charge will be available for inspection by Noteholders at the specified 
offices of the Paying Agents set out below: 
 
 
+-------------------------------------------------------+-------------------------------------------------------+ 
| UK PRINCIPAL PAYING AGENT                             | US PAYING AGENT                                       | 
|                                                       |                                                       | 
| Citibank, N.A.                                        | Citibank, N.A.                                        | 
| Citigroup Centre                                      | 14th Floor                                            | 
| Canada Square                                         | 388 Greenwich Street New York                         | 
| Canary Wharf                                          | New York 10013                                        | 
| London E14 5LB                                        |                                                       | 
|                                                       |                                                       | 
+-------------------------------------------------------+-------------------------------------------------------+ 
 
 
 
 
All defined terms, unless defined herein or the context otherwise requires, 
shall have the meanings given to them in the Amended and Restated Master 
Definitions and Construction Schedule dated 24 September 2009 and the Amended 
and Restated Master Issuer Master Definitions and Construction Schedule dated24 
September 2009. 
 
 
For further information, please contact: 
 
 
Permanent Master Issuer plc 
c/o SFM Corporate Services Limited 
35 Great St. Helen's 
London EC3A 6AP 
 
 
Telephone : 020 7398 6300 
Fax : 020 7398 6325 
 
 
NOTHING IN THIS NOTICE CONSTITUTES AN OFFER TO SELL OR ISSUE OR THE SOLICITATION 
OF AN OFFER TO BUY OR SUBSCRIBE FOR SECURITIES IN THE UNITED STATES OR ANY OTHER 
JURISDICTION. 
 
Click on, or paste the following link into your web browser, to view the 
associated PDF document. 
 
 
http://www.rns-pdf.londonstockexchange.com/rns/6970Z_2-2009-9-25.pdf 
 
This information is provided by RNS 
            The company news service from the London Stock Exchange 
   END 
 
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