RNS Number:3373W
Centauri Corporation
30 December 2005

To:              RNS
                 London Stock Exchange
                 10 Paternoster Square
                 London EC4M 7LS

Date:            30 December 2005

Reference:       058975


                           CENTAURI CORPORATION

                         ANNUAL INFORMATION UPDATE


This Annual Information Update has been prepared by Citibank International plc
in its capacity as Group Funding Manager of Centauri Corporation pursuant to
Rule 5.2 of the United Kingdom Listing Authority's prospectus rules.

The following information and documents have been published or made available to
the public by or on behalf of Centauri Corporation over the previous 12 months:


Information Memoranda

The following documents are available for inspection at the UK Listing
Authority's Document Viewing Facility, which is situated at: Financial Services
Authority, The Document Viewing Facility, 25 The North Colonnade, Canary Wharf,
London, E14 5HS (Tel: +44 (0) 20 7066 1000):

1.   Information Memorandum dated 8 September 2005 relating to a
     U.S.$5,000,000,000 Euro Medium Term Note Programme.

2.   Information Memorandum dated 1 July 2005 relating to a
     U.S.$5,000,000,000 Euro Medium Term Note Programme.

3.   Information Memorandum dated 1 July 2005 relating to a
     U.S.$1,000,000,000 Subordinated Income Note Programme.


Financial Statements

The following documents are available for inspection at the UK Listing
Authority's Document Viewing Facility, which is situated at: Financial Services
Authority, The Document Viewing Facility, 25 The North Colonnade, Canary Wharf,
London, E14 5HS (Tel: +44 (0) 20 7066 1000):

1.   Consolidated Financial Statements of Centauri Corporation for the year
     ended 30 September 2005.

2.   Consolidated Financial Statements of Centauri Corporation for the six
     months ended 31 March 2005.

3.   Consolidated Financial Statements of Centauri Corporation for the year
     ended 30 September 2004.

4.   Consolidated Financial Statements of Centauri Corporation for the six
     months ended 31 March 2004.

5.   Consolidated Financial Statements of Centauri Corporation for the year
     ended 30 September 2003.


Corporate Documents and Contracts

The following documents (each as may be amended, restated, supplemented or
replaced from time to time) are available for inspection (during normal office
hours) at Citigroup Global Agency and Trust, 14th Floor, Citigroup Centre,
Canada Square, Canary Wharf, London E14 5LB (Attention: Stuart Hoare):

1.   Memorandum and Articles of Association of Centauri Corporation.

2.   Agency Agreement dated 8 September 2005 between Centauri Corporation,
     Citibank, N.A. and others.

3.   Agency Agreement dated 1 July 2005 between Centauri Corporation,
     Citibank, N.A. and others.

4.   Agency Agreement dated 30 September 2003 between Centauri Corporation,
     Citibank, N.A. and others.

5.   Deed of Covenant dated 8 September 2005 issued by Centauri Corporation.

6.   Deed of Covenant dated 1 July 2005 issued by Centauri Corporation.

7.   Deed of Covenant dated 12 September 2001 issued by Centauri Corporation.

8.   Security Trust Deed dated 9 August 1996 between Centauri Corporation and
     The Law Debenture Trust Corporation p.l.c.


Pricing Supplements and Final Terms

The following documents are available for inspection at the UK Listing
Authority's Document Viewing Facility, which is situated at: Financial Services
Authority, The Document Viewing Facility, 25 The North Colonnade, Canary Wharf,
London, E14 5HS (Tel: +44 (0) 20 7066 1000):

1.   Pricing Supplement dated 15 February 2005 relating to GBP 37,000,000
     Floating Rate Notes due February 2010 (ISIN: XS0211637755).

2.   Pricing Supplement dated 15 February 2005 relating to GBP 10,000,000
     Fixed Rate Notes due January 2006 (ISIN: XS0212823917).

3.   Pricing Supplement dated 25 February 2005 relating to EUR 10,000,000
     Floating Rate Notes due August 2006 (ISIN: XS0213124877).

4.   Pricing Supplement dated 17 March 2005 relating to GBP 15,000,000
     Floating Rate Notes due September 2006 (ISIN: XS0215326652).

5.   Pricing Supplement dated 21 March 2005 relating to GBP 20,000,000
     Floating Rate Notes due March 2007 (ISIN: XS0215670604).

6.   Pricing Supplement dated 4 April 2005 relating to USD 14,000,000 Fixed
     Rate Notes due April 2006 (ISIN: XS0216316637).

7.   Pricing Supplement dated 12 April 2005 relating to USD 100,000,000
     Floating Rate Notes due April 2006 (ISIN: XS0217142248).

8.   Pricing Supplement dated 10 May 2005 relating to EUR 20,000,000 Floating
     Rate Notes due June 2006 (ISIN: XS0218848637).

9.   Pricing Supplement dated 10 May 2005 relating to EUR 40,000,000 Floating
     Rate Notes due November 2006 (ISIN: XS0219190989).

10.  Pricing Supplement dated 23 May 2005 relating to GBP 25,000,000 Floating
     Rate Notes due June 2006 (ISIN: XS0220252794).

11.  Pricing Supplement dated 15 June 2005 relating to GBP 32,000,000 Floating
     Rate Notes due June 2007 (ISIN: XS0221042178).

12.  Pricing Supplement dated 15 June 2005 relating to GBP 25,000,000 Floating
     Rate Notes due June 2008 (ISIN: XS0221909467).

13.  Pricing Supplement dated 15 June 2005 relating to GBP 15,000,000 Floating
     Rate Notes due June 2007 (ISIN: XS0222076019).

14.  Pricing Supplement dated 14 June 2005 relating to GBP 15,000,000 Floating
     Rate Notes due April 2007 (ISIN: XS0222354432).

15.  Pricing Supplement dated 14 June 2005 relating to GBP 20,000,000 Floating
     Rate Notes due April 2007 (ISIN: XS0222397084).

16.  Pricing Supplement dated 20 June 2005 relating to USD 15,000,000 Floating
     Rate Notes due June 2006 (ISIN: XS0222570300).

17.  Pricing Supplement dated 24 June 2005 relating to USD 35,000,000 Floating
     Rate Notes due June 2006 (ISIN: XS0222570565).

18.  Pricing Supplement dated 27 June 2005 relating to USD 40,000,000 Floating
     Rate Notes due June 2006 (ISIN: XS0222671322).

19.  Final Terms dated 12 July 2005 relating to EUR 64,250,000 Income Notes
     (ISIN: XS0224399872).

20.  Final Terms dated 19 July 2005 relating to EUR 5,000,000 Redemption Option
     Series Income Notes (ISIN: XS0218761350).

21.  Final Terms dated 22 July 2005 relating to GBP 15,000,000 Floating Rate
     Notes due July 2006 (ISIN: XS0224510577).

22.  Final Terms dated 29 July 2005 relating to GBP 30,000,000 Floating Rate
     Notes due July 2006 (ISIN: XS0224510650).

23.  Final Terms dated 18 July 2005 relating to GBP 25,000,000 Floating Rate
     Notes due August 2006 (ISIN: XS0224510734).

24.  Final Terms dated 22 August 2005 relating to USD 10,000,000 Floating Rate
     Notes due August 2008 (ISIN: XS0227598769).

25.  Final Terms dated 16 September 2005 relating to USD 9,000,000 Non-Interest
     Bearing, Equity Linked Redemption Notes due September 2007 
     (ISIN: XS0229552681).

26.  Final Terms dated 4 October 2005 relating to GBP 25,000,000 Floating Rate
     Notes due October 2006 (ISIN: XS0230760711).

27.  Final Terms dated 29 September 2005 relating to USD 4,000,000 Non-Interest
     Bearing, Equity Linked Redemption Notes due March 2007 
     (ISIN: XS0230887977).

28.  Final Terms dated 13 October 2005 relating to GBP 25,000,000 Floating Rate
     Notes due July 2007 (ISIN: XS0231939652).

29.  Final Terms dated 17 October 2005 relating to GBP 15,000,000 Floating Rate
     Notes due October 2007 (ISIN: XS0232668490).

30.  Final Terms dated 20 October 2005 relating to GBP 21,000,000 Floating Rate
     Notes due October 2006 (ISIN: XS0233317998).

31.  Final Terms dated 25 October 2005 relating to GBP 90,000,000 Floating Rate
     Notes due October 2006 (ISIN: XS0233588754).

32.  Final Terms dated 7 November 2005 relating to EUR 38,550,000 Income Notes
     (ISIN: XS0234991007, to be consolidated with XS0224399872).



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