REG-Limestone Finance Full Early Redemption
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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 Copyright Business Wire 2009
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