Redemption Notice
13 3월 2003 - 10:40PM
UK Regulatory
RNSRED Number:6970I
Arran One Limited
13 March 2003
NOTICE TO HOLDERS
ARRAN ONE LIMITED
Series 00-A
Class A US$525,000,000 Series 00-A Asset Backed FRN
Class B US$ 36,000,000 Series 00-A Asset Backed FRN
Class C US$ 39,000,000 Series 00-A Asset Backed FRN
Please be advised that The Bank of New York, London Branch, as Agent Bank hereby
notifies the holders of the above stated Notes that on the Scheduled Redemption
Date being 17th March, 2003 and in accordance with Condition 6 of the Terms and
Conditions, the Series 00-A Notes will be redeemed in full.
CUSIP ISIN
Class A 04269 RAA6 US04269RAA68
Class B 04269 RAB4 US04269RAB42
Class C 04269 RAC2 US04269RAC25
The principal payment and interest payment due to be paid on the 17/03/2003 is
as follows:
Principal Payment Interest Payment
Class A US$ 525,000,000 US$ 2,056,979.17
Class B US$ 36,000,000 US$ 159,250.00
Class C US$ 39,000,000 US$ 222,798.33
THE BANK OF NEW YORK, LONDON BRANCH
This information is provided by RNS
The company news service from the London Stock Exchange
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