Source - RNS
RNS Number : 7327J
Irish Stock Exchange
13 September 2016
 

REPORT OF THE BOARD OF THE IRISH

STOCK EXCHANGE

 

 

 

SUSPENSION NOTICE

 

 

Irish Stock Exchange

28 Anglesea Street

Dublin 2

 

 

12th September 2016

 

 

 

The listings of the under-mentioned securities from the Official List have been further suspended with effect from 7.00am, 12th September 2016 pending an announcement:

 

Lehman Brothers Holdings Inc.

Lehman Brothers Treasury Co. B.V.

 

 

Lehman Brothers Holdings Inc

B2QS3H9

XS0356089077

Series 10318 Floating Rate Notes due March 2018

Lehman Brothers Holdings Inc

B3BWYL4

XS0378327661

Series 10318 Tranche 2 Floating Rate Notes due 2018

Lehman Brothers Holdings Inc

B2R9337

XS0362467150

Series 10528 7.875 per cent Notes due May 2018

Lehman Brothers Holdings Inc

B1FGYR4

XS0268648952

Series 5065 Fixed Floating Rate Subordinated Notes due September 2016

Lehman Brothers Holdings Inc

B1R98S0

XS0287044969

Fixed Floating Rate Subordinated Notes due 2019 Series 6222

 

 

 

Lehman Brothers Treasury Co B.V.

B1GCYF9

XS0270984957

Series 5222 COMPASS Notes Linked to a Strategy on the 10 Year 2Year Spread of the USD Curve

Lehman Brothers Treasury Co B.V.

B285970

XS0306251967

Series 7538 Interest Rate VTS Linked Notes due 2017

Lehman Brothers Treasury Co B.V.

B23VCB8

XS0307663939

Series 7611 Floating Rate Notes due July 2017

Lehman Brothers Treasury Co B.V.

B28JFG3

XS0324058865

Series 8455 Israeli Inflation Linked Notes due 2017

Lehman Brothers Treasury Co B.V.

B29Z214

XS0335070032

Series 9200 COMPASS Notes due 28 December 2020 -Strategy on 10 year -2 Spread of USD Curve

Lehman Brothers Treasury Co B.V.

B1XKCB8

XS0296589194

CPPI Notes due 2017 Linked to the Fortrust VII Hedge Fund Index

Lehman Brothers Treasury Co B.V.

B3CR366

XS0357601722

Series 10369 Index-Linked Redemption Notes due June 2018 relating to a Basket of Indices

Lehman Brothers Treasury Co B.V.

B3BQVL5

XS0358689841

Series 10397 Index-Linked Redemption Notes due April 2018 relating to a Basket of Indices

Lehman Brothers Treasury Co B.V.

B39GG89

XS0361015471

Series 10635 Floating Rate Notes due June 2031

Lehman Brothers Treasury Co B.V.

B3CSY44

XS0366065505

Series 10704-Issue of Fixed-Rate Note due July 2018

Lehman Brothers Treasury Co B.V.

B3B01R3

XS0368669007

Series 10886 Magnum Notes due October 2017 linked to a Basket of Shares

Lehman Brothers Treasury Co B.V.

B3BRL07

XS0369274708

Series 10906 Notes linked to Dow Jones Euro STOXX 50 Index and Inflation Index due June 2018

Lehman Brothers Treasury Co B.V.

B3CH7D1

XS0237558662

Series 3483 GEFIVOL Linked Notes due December 2030

Lehman Brothers Treasury Co B.V.

B1KJPY8

XS0249942870

Series 4103 Artemis Capital CDO of CDO Varibable Rate Credit Linked Synthetic Port Nts 07July 2033

Lehman Brothers Treasury Co B.V.

B1VQTD9

XS0266833515

Series 4961 Index Linked Notes due September 2021 Linked to a Basket of Indices+-

Lehman Brothers Treasury Co B.V.

B1VN7C5

XS0267959665

Series 5026 Hybrid Locker Notes due September 2016 relating to a Basket of 3 Indices

Lehman Brothers Treasury Co B.V.

B1W5QQ7

XS0279612823

Series 5701 Issue of Eur 10000000 Notes linked to a Basket of Indices due December 2016

Lehman Brothers Treasury Co B.V.

B1W43W9

XS0280166116

Series 5740 EUR 10000000 Lehman Brothers Diversified Yield Notes due December 2016

Lehman Brothers Treasury Co B.V.

B1W6S20

XS0288524795

Series6310Issue of Vari CouponCPPI Nts dueApril2017relating to Basket of Premium and Riskless Assets

Lehman Brothers Treasury Co B.V.

B27WF41

XS0316372365

Series 8128 - Notes due Oct 2022 lnked to Dow Jones Euro STOXX 50 Idx Nikkei 225 idx S and P 500 idx

Lehman Brothers Treasury Co B.V.

B297TW0

XS0317996279

Series 8214 Index Linked Redemption Notes due August 2017 relating to a Basket of Indices

Lehman Brothers Treasury Co B.V.

B294C55

XS0322779348

Series 8394 Index Linked Notes due October 2017 relating to the Dow Jones Eurostoxx 50 Index

Lehman Brothers Treasury Co B.V.

B2QC898

XS0323352095

Series 8415 Index Linked Notes due October 2019

Lehman Brothers Treasury Co B.V.

B29QCJ5

XS0326264917

Series 8617 Index Linked Notes due November 2017 relating to the Dow Jones Euro STOXX 50 Index

Lehman Brothers Treasury Co B.V.

B2PZD04

XS0342804365

Series 9683 Index Linked Notes due February 21 2023

Lehman Brothers Treasury Co B.V.

B2Q2QB6

XS0342194601

Series 9757 Index Linked Redemption Notes due January 2018 relating to Basket of Indices

Lehman Brothers Treasury Co B.V.

B2R67T2

XS0348560524

Series 9953 Index-Linked Notes due February 2018 relating to the DJ Eurostoxx 50 Index

Lehman Brothers Treasury Co B.V.

B2Q7547

XS0348934893

Series 9958 Index Linked Notes due March 2018

Lehman Brothers Treasury Co B.V.

B3BQVK4

XS0349506369

Series 9981 Equity-Linked Notes due March 2018 guaranteed by Lehman Brothers Holdings Inc

 

 

 

 

This announcement has been issued through the Companies Announcement Service of the Irish Stock Exchange.

 


This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
ISESFFFLDFMSEEU