REG-Limestone Finance Full Early Redemption

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Mon May 18, 2009 12:38pm EDT

LONDON--(Business Wire)--


Please note the following redemption, received on 18/05/2009:

 Issuer:                             LIMESTONE FIN  
 ISIN:                 XS0208987122  
 Paying Agent:         MTN           
 Redemption Type:      Full Call     
 Call Price:           90.723398%    
 Partial Call Price:                 
 Currency:             EUR           
 Outstanding Balance:                
 Redemption Date:      19/05/2009    


Limestone Finance 

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