With effect from the start of business on Tuesday 30 August 2011, Lloyds TSB Bank plc ("Lloyds TSB" or "the firm") will commence acting as a gilt-edged market maker ("GEMM") and index-linked gilt-edged market maker ("IL GEMM") as shown below in bold. From the above date the firm will also cease to trade in UK domestic securities and will no longer have a settlement arrangement with BNP Paribas Securities Ltd using CREST code LNMAY.
Lloyds TSB acts in a principal and agency capacity in fixed interest and gilt-edged securities.
|Issued by: Client Implementation Team|
|Contact: +44 (0) 20 7797 3232 or STX 33232|
|Issue date: 26 August 2011|
|Issue number: 2011/102|
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