Admission to Trading-28/09/20
Published: 28/09/2005, 08:00
London Security PLC 28 September 2005 NOTICE OF ADMISSION TO TRADING ON THE LONDON STOCK EXCHANGE 28/09/2005 08:00 AM The following securities are admitted to trading on the LSE with effect from the time and date of this notice. ABBEY NATIONAL TREASURY SERVICES PLC EUR100,000,000 Floating Rate Notes due 28/09/2007 (B0LL926)(XS0230487018) fully paid (Represented by notes to bearer of EUR50,000 each) ALTERNATIVE INVESTMENT STRATEGIES LD 41,000,000 C Class Sterling Hedged Shares of (B0JMQL9)(GB00B0JMQL99) USD0.001 each fully paid BRAMBLES INDUSTRIES PLC After allotment 750,000 Ordinary Shares of 5p each (3-061-673)(GB0030616733) fully paid COMMONWEALTH BANK OF AUSTRALIA EUR100,000,000 Floating Rate Notes due 28/09/2007 (B0LL960)(XS0230612441) fully paid (Represented by notes to bearer of EUR50,000 each) DORADA CORPORATION USD10,900,000 Zero Coupon Notes due 15/09/2015 (B0LL8T6)(XS0230582354) fully paid (Represented by notes to bearer of USD100,000 each) GMAC INTERNATIONAL FINANCE B.V. EUR77,000 4.00% Notes due 15/10/2007 (B0LL993)(XS0230640145) fully paid (Represented by notes to bearer of EUR1,000 each) HBOS TREASURY SERVICES PLC GBP200,000,000 4.375% Instruments due 30/12/2009 (B0L51B1)(XS0230355967) fully paid (Represented by instruments to bearer of GBP1,000, GBP10,000 & GBP100,000 each) IMPALA PLATINUM HOLDINGS LD After allotment 500,000 Ordinary Shares of ZAR0.20 each (0-458-063)(ZAE000003554) fully paid ISLANDSBANKI HF ISK500,000,000 9.25% Notes due 26/09/2006 (B0LL915)(XS0229986764) fully paid (Represented by notes to bearer of ISK10,000,000 each) MERRILL LYNCH & CO INCORPORATED SKK1,600,000,000 Floating Rate Bearer Notes due 28/09/ (B0LL982)(XS0230016916) 2010 fully paid (Represented by notes to bearer of SKK2,000,000 each) NATIONAL GRID ELECTRICITY TRANSMISSION PLC GBP75,000,000 RPI-Linked 2.0353% Instruments due 28 (B0LL948)(XS0230845207) /09/2035 fully paid (Represented by Instruments to bearer of GBP50,000 each) NORTHUMBRIAN WATER FINANCE PLC GBP150,000,000 2.033% Index-Linked Guaranteed (B0LGLR0)(XS0230235474) Bonds due 15/07/2036 fully paid (Represented by bonds to bearer of GBP50,000 each and integral multiples of GBP1,000 in excess thereof) RESOLUTION PLC 173 Ordinary Shares of 5p each (0-434-256)(GB0004342563) fully paid ROYAL BANK OF CANADA EUR500,000,000 Floating Rate Deposit Notes due 28/09 (B0LL8Z2)(XS0231120600) /2007 fully paid (Represented by notes to bearer of EUR50,000 each) SGA SOCIETE GENERALE ACCEPTANCE N.V. 50,000,000 Call Warrants on Shares in BOC (B0LF713)(ANN812831082) Group Plc due 17/03/2006 50,000,000 Put Warrants on Shares in BOC Group (B0LF791)(ANN812831165) Plc due 17/03/2006 50,000,000 Call Warrants on Shares in Party (B0LFK25)(ANN812832239) Gaming Plc due 17/03/2006 50,000,000 Put Warrants on Shares in Party (B0LFLG6)(ANN812832312) Gaming Plc due 17/03/2006 50,000,000 Call Warrants on Shares in Man (B0LFMJ6)(ANN812831652) Group Plc due 17/03/2006 50,000,000 Put Warrants on Shares in Man Group (B0LFMK7)(ANN812831736) Plc due 17/03/2006 50,000,000 Call Warrants on Shares in Standard (B0LDS47)(ANN812832494) Chartered Plc due 17/03/2006 50,000,000 Call Warrants on Shares in Standard (B0LDZ57)(ANN812832569) Chartered Plc due 17/03/2006 50,000,000 Put Warrants on Shares in Standard (B0LF229)(ANN812832643) Chartered Plc due 17/03/2006 50,000,000 Put Warrants on Shares in Gold Spot (B0LFN48)(ANN812831249) Price due 28/12/2005 50,000,000 Call Warrants on Shares in Gold (B0LFML8)(ANN812831322) Spot Price due 15/12/2006 50,000,000 Call Warrants on Gold Spot Price (B0LFMR4)(ANN812831405) due 15/12/2006 50,000,000 Put Warrants on Gold Spot Price due (B0LFMZ2)(ANN812831579) 15/12/2006 50,000,000 Call Warrants on the Nikkei 225 (B0LFNB5)(ANN812831819) Index due 10/03/2006 50,000,000 Call Warrants on the Nikkei 225 (B0LFNC6)(ANN812831991) Index due 08/12/2006 50,000,000 Put Warrants on the Nikkei 225 (B0LFNN7)(ANN812832072) Index due 10/03/2006 50,000,000 Put Warrants on the Nikkei 225 (B0LFNR1)(ANN812832155) Index due 08/12/2006 SKANDINAVISKA ENSKILDA BANKEN AB (PUBL) EUR500,000,000 Floating Rate Step-Up Subordinated (B0L4ZX8)(XS0230339847) Instruments due 28/09/2017 fully paid (Represented by instruments to bearer of EUR50,000 each and integral multiples of EUR1,000 thereafter) UNITED KINGDOM 2,750,000,000 4 3/4% Treasury Stock due 07/03/ (B-058-DQ5)(GB00B058DQ55) 2020 fully paid If you have any queries relating to the above, please contact Issuer Implementation at the LSE on 020 7797 1614. This information is provided by RNS The company news service from the London Stock Exchange