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Merrill Lynch SA (75XU)

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Thursday 04 December, 2008

Merrill Lynch SA

Amendment to Final Terms

Amendment to Final Terms

Merrill Lynch

Obligation Announcement to the Final Terms dated 29 October, 2008 for the Issue of USD 1,400,000 Bearer Fixed Coupon Amount, Automatic Early Redemption and Share Linked Redemption Notes due 30 October, 2009 (the “Notes”) by MERRILL LYNCH S.A. (the “Issuer”)

ISIN XS0393670764

(1) Paragraph 8 of Part A of the Final Terms has been deleted in its entirety and replaced with the following:

“8.

 

(i)

 

Issue Date:

 

29 October, 2008

 

(ii)

Interest Commencement Date (if different from the Issue Date):

30 October, 2008”

(2) Paragraph 32(xix) of Part A of the Final Terms has been amended by replacing the words “Change in Law” (where they appear for the 2nd time) with the words “Increased Cost of Hedging”.

(3) Paragraph 41 of Part A of the Final Terms has been amended by the deletion of the words “Temporary Global Note exchangeable for Definitive Notes on and after the Exchange Date” and the insertion of the words “Temporary Global Note exchangeable for a Permanent Global Note which is exchangeable for Definitive Notes on 60 days’ notice expiring at least 30 days after the Exchange Date or upon an Exchange Event” in lieu thereof.

(4) Paragraph 43 of Part A of the Final Terms has been amended by replacing the word “Date” with the word “Day”.

(5) Paragraph 48 of Part A of the Final Terms has been amended by replacing the words “Not Applicable” with the words “Redenomination not applicable”.

(6) A new Paragraph 53 has been inserted in Part A of the Final Terms as follows:

“53.

 

Total commission and concession:

 

Not Applicable”

(7) Paragraph 53 of Part A of the Final Terms has been renumbered as paragraph 54, and the words “Compliance Category 2” have been inserted after the words “Reg. S”.

(8) Paragraph 54 of Part A of the Final Terms has been renumbered as paragraph 55.

(9) Paragraph 55 of Part A of the Final Terms has been renumbered as paragraph 56.

(10) Paragraph 56 of Part A of the Final Terms has been renumbered as paragraph 57.

(11) A new sub-paragraph 16(v) has been inserted in Part B of the Final Terms as follows:

“(v)

Names and addresses of initial Paying Agent(s):

 

Deutsche Bank AG, London Branch

Winchester House

1 Great Winchester Street

London EC2N 2DB
United Kingdom”United Kingdom”

(12) Sub-paragraph 16(v) of Part B of the Final Terms has been renumbered as sub-paragraph 16(vi) and amended by replacing the words “Deutsche Bank AG, London Branch” with the words “Not Applicable”.

(13) Sub-paragraph 16(vi) of Part B of the Final Terms has been renumbered as sub-paragraph 16(vii) and amended by replacing the words “Winchester House” with the word “No”.

The Issuer accepts responsibility for the information contained in this Announcement.

This Announcement is available, free of charge, at the Office of the Agent in London.


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