REG-Merrill Lynch SA Full Early Redemption

* Reuters is not responsible for the content in this press release.

Tue Jun 30, 2009 10:02am EDT

LONDON--(Business Wire)--


Merrill Lynch S.A. 

JPY 140,000,000 Bearer Fixed Coupon Amount 

Automatic Early Redemption and Equity Linked 

Redemption Notes due 11 July 2009 S 1651 T 1 MTN 

CASH SETTLEMENT - JPY 250,642.00 

SHARES DETAILS - 140,000 SHS OF JP3902900004 

DELIVERY AGENT: MERRILL LYNCH INTERNATIONAL 

VALUE DATE: 13/07/2009

ISIN : XS0373630143 

Please be advised that the above Issue has been Redeemed in full by way of Cash
and Shares 

The new amount outstanding will be nil. 

Please arrange to reflect this in your records. 



Merrill Lynch SA 

Copyright Business Wire 2009

Comments (0)
This discussion is now closed. We welcome comments on our articles for a limited period after their publication.