Stock Exch Notice - Admission to Trading-15/01/08

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Tue Jan 15, 2008 3:00am EST

RNS Number:7430L
London Stock Exchange Notice
15 January 2008


NOTICE OF ADMISSION TO TRADING ON THE LONDON STOCK EXCHANGE



15/01/2008 08:00



The following securities are admitted to trading on the LSE with effect from the time and date of this notice.



BANK OF AMERICA CORPORATION
             EUR100,000,000 Floating Rate Notes due 15/01/2023                  (B2NPB24)(XS0335528153)
                            fully paid
                            (Represented by notes to bearer of
                            EUR50,000 each)



BANK OF SCOTLAND PLC
              GBP4,975,000 Putable Floating Rate Notes due 19/01/2014           (B2NPBB3)(XS0340197119)
                           fully paid
                           (Represented by notes to bearer of
                           GBP50,000 each and higher integral
                           multiples of GBP1,000 up to and
                           including GBP99,000)


COBHAM PLC                                                                             Block Admission
                   900,000 Ordinary Shares of 2.5p each                         (B07KD36)(GB00B07KD360)
                           fully paid


DAVIS SERVICE GROUP PLC                                                                Block Admission
                   350,000 Ordinary Shares of 30p each                          (B0F9971)(GB00B0F99717)
                           fully paid



INTERMEDIATE CAPITAL GROUP PLC
                 15,669,842 New Ordinary Shares of 20p each                     (B298JX4)(GB00B298JX43)
                            nil paid
                            New Ordinary Shares of 20p each                     (B298K19)(GB00B298K194)
                            fully paid



KENMARE RESOURCES PLC
                 45,340,929 Ordinary Shares of EUR0.06 each fully               (0-487-948 )(IE0004879486)
                            paid



MERRILL LYNCH S.A.
             JPY230,000,000 Variable Index Linked Coupon Amount,                (B2NPB68)(XS0338105041)
                            Automatic Early Redemption and Index
                            Linked Redemption Notes due 16/01/2013
                            fully paid
                            (Represented by notes to bearer of
                            JPY10,000,000 each)



NEW STAR RBC HEDGE 250 INDEX EXCHANGE TRADED SECURITIES PCC LIMITED
                    340,589 Redeemable Preference Shares of No                  (B1FBH47)(GG00B1FBH479)
                            Par Value (Issued as 1X Euro Shares)
                            fully paid
                     12,263 Redeemable Preference Shares of No                  (B1FBHF8)(GG00B1FBHF85)
                            Par Value (Issued as 3X Sterling
                            Shares)
                            fully paid



UNITE GROUP PLC
                17,903 Ordinary Shares of 25p each                              (0-692-861 )(GB0006928617)
                       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
END

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