Vetra Finance Corporation
28 February 2008
28th February 2008
Dear Sirs,
Vetra Finance Corporation (the 'Issuer')
US $10,000,000,000 Euro-Medium Term Note Programme
dated 16th November 2006 (the 'Programme')
In our capacity as Investment Manager to the Issuer we hereby notify you of the
repurchase by the Issuer of its own listed debt securities issued under the
Programme:
Listed Securities: GBP 20,000,000
due 15th May 2009
ISIN XS0301033279
Trade Date: 28th February 2009
Value Date: 3rd March 2008
Nominal Amount GBP 20,000,000
Amount being purchased GBP 20,000,000
Remaining Nominal Amount 0.00
The Nominal Amount of all Notes repurchased will be cancelled upon receipt.
Yours faithfully,
Katy Woodgates
Tel: 0207 500 1017
Fax: 0207 500 0081
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