TIDM46WI 
 
RNS Number : 2619U 
Langton Securities (2008-1) PLC 
12 October 2010 
 

 
Notice to Holders 
 Langton Securities (2008-1) PLC 
 12 October 2010 
 
  Langton Securities (2008-1) plc 
 (a public company incorporated in England 
     and Wales 
 with limited liability under the Companies Act 1985 with 
                  registered number 6432564) 
 (the Company) 
                          NOTICE 
 to the holders of 
   EUR1,200,000,000 Class A2 Asset Backed Floating Rate Notes due December 2054 
  (ISIN: XS0336393177 - Common Code: 033639317) 
 GBP70,000,000 Class B Asset 
Backed Floating Rate Notes due December 2054 (ISIN: XS0336393680 - Common Code: 
    033639368) 
 GBP90,000,000 Class Z Asset Backed Floating Rate Notes due 
                                  December 2054 
  each issued by the Company 
 (the Noteholders and the Notes, respectively) 
  constituted by a Note Trust Deed (the Note Trust Deed) dated 25 January 2008 
between the Company and Citicorp Trustee Company Limited in its capacity as Note 
                          Trustee for the Noteholders. 
    Capitalised terms used in this notice shall, unless defined herein or the 
    context otherwise requires, bear the meanings given to them in the Master 
   Definitions and Construction Schedule or the Issuer Master Definitions and 
           Construction Schedule (as defined in the Note Trust Deed). 
Notice is hereby given to the Noteholders that Citicorp Trustee Company Limited 
in its capacity as Note Trustee under the Note Trust Deed and pursuant to clause 
20.2 of the Note Trust Deed, in its capacity as Issuer Security Trustee under 
the Issuer Deed of Charge and pursuant to clause 12.1 of the Issuer Deed of 
Charge, and in its capacity as Funding 1 Security Trustee under the Funding 1 
Deed of Charge and pursuant to clause 12.1 of the Funding 1 Deed of Charge, has 
concurred in making certain amendments to the following transaction documents: 
(A)        the Funding 1 Deed of Charge; and 
(B)        the Confirmation in respect of the Funding 1 Swap Agreement. 
Copies of the amended agreements are available for inspection by the Noteholders 
at the specified offices of the Principal Paying Agent set out below: 
PRINCIPAL PAYING AGENT 
Citibank, N.A. 
 Citigroup Centre 
 Canada Square 
 Canary 
Wharf 
 London E14 5LB 
Dated: 12 October 2010 
 
Issued by Langton Securities (2008-1) PLC 
 
This information is provided by RNS 
            The company news service from the London Stock Exchange 
   END 
 
 STRLLFIVIVLFLII 
 

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