The following replaces the announcement released on the 27th of June 2012 at 8.16, (RNS Nr: 2344G). The currency should have read EUR and not GBP as previously stated. All other information remains unchanged. The full amended text appears below.
3i Group Plc
26th June 2012
Repurchase
Please note the below;
Settlement Date |
ISIN |
Issuer |
Pre Repurchase Balance |
Nominal Amount |
Post Repurchase Balance |
CCY |
15-Jun-12 |
XS0357874881 |
3i Group PLC |
300,000,000 |
150,000,000 |
150,000,000 |
EUR |
Enquiries to:
Maria Roddam
Agency & Trust - SFS Operations
Citigroup Global Transaction Services
Tel No: +353 (1) 622 2226
Fax No: +353(0) 1 622 4030
Maria1.Roddam@citi.com
This announcement has been issued through the Companies Announcement Service of
The Irish Stock Exchange.