30 Mar 2012 13:30
Bank of Ireland
30th March 2012
Re: Partial Redemption
Settlement Date | ISIN | Issuer | Pre Repurchase Balance | Nominal Amount | Post Repurchase Balance | CCY |
23-Mar-12 | XS0737001247 | BANK OF IRELAND | 1,900,000,000 | 50,000,000 | 1,850,000,000 | EUR |
Contact: Susan HowardCiti Group 1 North Wall Quay,Dublin 1,Ireland. Tel: +353 (1) 622 22 44Fax No: +353 (1) 622 22 13 |
This announcement has been issued through the Companies Announcement Service of
the Irish Stock Exchange.
Follow the stocks