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35YP Barclays 26

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0.00 (0.00%)
Name Symbol Market Type
Barclays 26 LSE:35YP London Medium Term Loan
  Price Change % Change Price Bid Price Offer Price High Price Low Price Open Price Traded Last Trade
  0.00 0.00% 0 -

Cancellation - Permanent Financing (No.6) PLC (5831Q)

21/10/2011 8:00am

UK Regulatory


Barclays 26 (LSE:35YP)
Historical Stock Chart


From Jul 2019 to Jul 2024

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TIDM35YP

RNS Number : 5831Q

Official List

21 October 2011

NOTICE OF CANCELLATION OF LISTING FROM THE OFFICIAL LIST

21/10/2011 8:00am

CANCELLATION

Permanent Financing (No 6) PLC

The Financial Services Authority ("the FSA") cancels the securities set out below from the Official List effective from 21/10/2011 8:00am:

 
Series 1 Class         Standard Debt  (US71419TAA07) 
 A Floating Rate                       -- 
 Notes due 10/09/2005 
 fully paid 
 (Registered in 
 denominations 
 of USD1,000 & 
 USD10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 1 Class         Standard Debt  (US71419TAB89) 
 B Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of USD1,000 & 
 USD10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 1 Class         Standard Debt  (US71419TAC62) 
 C Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of USD1,000 & 
 USD10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 2 Class         Standard Debt  (US71419TAD46) 
 A Floating Rate                       -- 
 Notes due 10/12/2011 
 fully paid 
 (Registered in 
 denominations 
 of USD1,000 & 
 USD10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 2 Class         Standard Debt  (US71419TAE29) 
 B Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of USD1,000 & 
 USD10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 2 Class         Standard Debt  (US71419TAF93) 
 C Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of USD1,000 & 
 USD10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 3 Class         Standard Debt  (XS0205341760) 
 A Floating Rate                       -- 
 Notes due 10/09/2032 
 fully paid 
 (Registered in 
 denominations 
 of GBP1,000 & 
 GBP10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 3 Class         Standard Debt  (XS0205325995) 
 B Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of GBP1,000 & 
 GBP10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 3 Class         Standard Debt  (XS0205326373) 
 C Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of GBP1,000 & 
 GBP10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 4 Class         Standard Debt  (XS0205329559) 
 A Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of EUR500,000 
 each and integral 
 multiples of 
 EUR1,000 thereof) 
 
 
Series 4 Class         Standard Debt  (XS0205331027) 
 B Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of EUR500,000 
 each and integral 
 multiples of 
 EUR1,000 thereof) 
 
 
Series 4 Class         Standard Debt  (XS0205331290) 
 C Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of EUR500,000 
 each and intergal 
 multiples of 
 EUR1,000 thereof) 
 
 
Series 5 Class         Standard Debt  (XS0205328742) 
 A1 Floating Rate                      -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of GBP1,000 & 
 GBP10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 5 Class         Standard Debt  (XS0205326969) 
 A2 Floating Rate                      -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of GBP1,000 & 
 GBP10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 5 Class         Standard Debt  (XS0205327777) 
 B Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of GBP1,000 & 
 GBP10,000 each 
 and integral 
 multiples thereof) 
 
 
Series 5 Class         Standard Debt  (XS0205328155) 
 C Floating Rate                       -- 
 Notes due 10/06/2042 
 fully paid 
 (Registered in 
 denominations 
 of GBP1,000 & 
 GBP10,000 each 
 and integral 
 multiples thereof) 
 

This notice has been issued by Listing Applications - 0207 066 8333 Option 3.

Notes

- Notices issued by the FSA in respect of cancellation of securities from the Official List must be read in conjunction with notices issued by the relevant Recognised Investment Exchange.

--Denotes the security is also being cancelled from trading on the London Stock Exchange, a recognised Investment Exchange.

- SEDOL numbers which are allocated by the London Stock Exchange as a Stock Exchange identifier may be found on their dealing notice.

Denotes the security is also being cancelled from trading on PLUS Markets Group, a recognised Investment Exchange.

#Denotes the security is also being cancelled from trading on NYSE Euronext London, a recognised Investment Exchange.

This information is provided by RNS

The company news service from the London Stock Exchange

END

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