Irish Stock Exchange - Main Market Notice
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RNS Number:8109L
Irish Stock Exchange
15 January 2008
REPORT OF THE BOARD OF THE IRISH
STOCK EXCHANGE
ADMISSION NOTICE
Irish Stock Exchange
28 Anglesea Street
Dublin 2
14 January 2008
The Board of the Irish Stock Exchange approves the admission of the
undermentioned securities to listing on the Official List and trading on the
Main Market of the Exchange.
JPMORGAN CHASE & CO.
Series 2007-40
COP 20,900,000,000 Colombian Peso and
Colombia Credit Linked Notes due 2012
XS0334407748
Debt Security
Hewett's Island CLO I-R, Ltd. and Hewett's Island CLO I-R Corporation
US$195,850,000 Class A First Priority Senior Secured Floating Rate Notes Due
USG4425TAA63
US$15,700,000 Class B Second Priority Senior Secured Floating Rate Notes Due
USG4425TAB47
US$11,250,000 Class C Third Priority Senior Secured Deferrable Floating Rate
Notes Due 2019
USG4425TAC20
US$9,900,000 Class D Fourth Priority Mezzanine Secured Deferrable Floating
Rate Notes Due 2019
USG4425TAD03
US$10,300,000 Class E Fifth Priority Mezzanine Secured Deferrable Floating Rate
Notes Due 2019
USG4425TAE85
US$19,300,000 Subordinated Notes Due 2019
USG4425RAA08
Debt Security
DECO 17 - Pan Europe 7 Limited
€750,000,000 Class A1 Commercial Mortgage Backed Floating Rate Notes due 2020
XS0337130370
€50,000 Class X Commercial Mortgage Backed Variable Rate Notes due 2020
N/A
€212,000,000 Class A2 Commercial Mortgage Backed Floating Rate Notes due 2020
XS0337130537
€88,000,000 Class B Commercial Mortgage Backed Floating Rate Notes due 2020
XS0337131188
€104,600,000 Class C Commercial Mortgage Backed Floating Rate Notes due 2020
XS0337134877
€44,000,000 Class D Commercial Mortgage Backed Floating Rate Notes due 2020
XS0337136732
€19,000,000 Class E Commercial Mortgage Backed Floating Rate Notes due 2020
XS0337137466
€18,000,000 Class F Commercial Mortgage Backed Floating Rate Notes due 2020
XS033714114
€13,531,801 Class G Commercial Mortgage Backed Floating Rate Notes due 2020
XS0337164866
€50,000 Class V Commercial Mortgage Backed Variable Rate Notes due 2020
N/A
Debt Security
Coda CDO 2007-1 Ltd. and Coda CDO 2007-1 (Delaware) Corp.
U.S.$40,000,000 Class X Notes Due November 2014
USG2364UAA00
U.S.$55,000,000 Class A-1LB Floating Rate Notes Due November 2047
USG2364UAB8
U.S.$35,000,000 Class A-2L Floating Rate Notes Due November 2047
USG2364UAC6
U.S.$125,000,000 Class A-3L Deferrable Floating Rate Notes Due November 2047
USG2364UAD4
U.S.$63,000,000 Class B-1L Deferrable Floating Rate Notes Due November 2047
USG2364UAE2
U.S.$60,000,000 Class B-2L Deferrable Floating Rate Notes Due November 2047
USG2364TAA3
U.S.$50,000,000 Class N-1L Deferrable Floating Rate Notes Due November 2047
USG2364TAB1
U.S.$40,000,000 Class N-2L Deferrable Floating Rate Notes Due November 2047
USG2364TAC9
Debt Security
Jupiter Finance Limited
Series No: 2008-001
USD 15,000,000 Floating Rate "First-to-default" Credit Linked Notes due 2018
XS0332977692
Debt Security
JPMORGAN CHASE & CO
U.S.$7,000,000,000
Structured Euro Medium Term Note Programme
Debt Security
This announcement has been issued through the Companies Announcement Service of
the Irish Stock Exchange.
This information is provided by RNS
The company news service from the London Stock Exchange
END
ISEGUUMAGUPRGPA
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