25th Nov 2008 12:27
ABBEY NATIONAL TREASURY SERVICES PLC
NOTICE OF FINAL AGGREGATE NOMINAL AMOUNT
Abbey National Treasury Services plc
(incorporated under the laws of England and Wales)
Issue of GBP 3,126,460 Equity Basket Linked Automatic Early Redemption Notes due November, 2014 (ISIN Code: XS0388417262) (the "Notes")
Guaranteed by Abbey National plc
under the €2,000,000,000
Structured Note Programme
Reference is made to the Base Prospectus dated 26 March, 2008 (the "Base Prospectus"), as supplemented from time to time, related to the above referenced Notes issued by Abbey National Treasury Services plc (the "Issuer"). The Base Prospectus has been approved by the UK Listing Authority and application has been made for the Notes to be admitted to the London Stock Exchange's Regulated Market and to be admitted to the Official List of the UK Listing Authority.
The Final Terms, prepared in connection with the Notes, omitted the final aggregate nominal amount of the Notes to be issued. In accordance with paragraph 13.8 of Part B of the Final Terms, the Issuer hereby confirms that (i) the final aggregate nominal amount of the Notes is GBP 3,126,460, (ii) the number of Notes to be issued on the Issue Date will be 3,126,460 and (iii) the estimated net proceeds in respect of the Notes is GBP 3,126,460
For further information, please contact:
SGBM Legal
END
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