24 Sep 2012 12:07
Bank of Ireland
Series 703 - Issue of EUR 2000000000 3 Month Euribor Notes due 2 November 2012
Repurchase
Settlement Date | ISIN | Issuer | Pre Repurchase Balance | Nominal Amount | Post Repurchase Balance | CCY |
21-Sep-12 | XS0811466597 | BOI | 1,400,000,000 | 250,000,000 | 1,150,000,000 | EUR |
Regards
Eoin
Eoin Dunne
Agency & Trust,
Securities Operations,
Citi, 1 North Wall Quay, Dublin 1, Ireland.
Fax: +3531 622 2213
Group Email: agencyandtrust.settlements@citi.com
This announcement has been issued through the Companies Announcement Service of
the Irish Stock Exchange.