RNS Number:6275Q
Dorada Corporation
20 March 2008


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


Date:  20 March 2008



DORADA CORPORATION

                           ANNUAL INFORMATION UPDATE


This Annual Information Update has been prepared by Citibank International plc
in its capacity as Group Funding Manager of Dorada 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 Dorada Corporation since the filing of the
previous Annual Information Update by Dorada Corporation and (unless otherwise
specified) 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):



Information Memoranda


1.  Information Memorandum dated 26 April 2007 relating to a 
    U.S.$10,000,000,000 Euro Medium Term Note Programme.

2.  Information Memorandum dated 26 April 2006 relating to a U.S.$1,000,000,000 
    Subordinated Income Note Programme.



Financial Statements


1.  Consolidated Financial Statements of Dorada Corporation for the year ended 
    30 September 2007.

2.  Consolidated Financial Statements of Dorada Corporation for the six months 
    ended 31 March 2007.



EMTN - Issuance



1.      Final terms dated 18 January 2007 relating to EUR 8,000,000 Floating
     Rate Notes due July 2008 - ISIN: XS0282310084.

2.      Final terms dated 22 January 2007 relating to GBP 15,000,000 Floating
     Rate Notes due January 2009 - ISIN: XS0282816767.

3.      Final terms dated 8 February 2007 relating to USD 20,000,000 Floating
     Rate Notes due August 2008 - ISIN: XS0286069660.

4.      Final terms dated 28 March 2007 relating to YEN 5,900,000,000 Fixed Rate
     Notes due March 2008 - ISIN: XS0292374682.

5.      Final terms dated 14 May 2007 relating to USD 50,000,000 Floating Rate
     Notes due November 2008 - ISIN: XS0300749719.

6.      Final terms dated 15 May 2007 relating to GBP 6,000,000 Floating Rate
     Notes due May 2008 - ISIN: XS0300807855.

7.      Final terms dated 17 May 2007 relating to EUR 18,000,000 Floating Rate
     Notes due November 2008 - ISIN: XS0301182357.

8.      Final terms dated 29 May 2007 relating to GBP 2,000,000 Floating Rate
     Notes due May 2009 - ISIN: XS0302815278.

9.      Final terms dated 31 May 2007 relating to USD 100,000,000 Floating Rate
     Notes due May 2009 - ISIN: XS0302813901.

10.  Final terms dated 31 May 2007 relating to USD 55,000,000 Floating Rate
     Notes due November 2008 - ISIN: XS0302868806.

11.  Final terms dated 2 July 2007 relating to GBP 100,000,000 Floating Rate
     Notes due July 2010 - ISIN: XS0307180892.



EMTN - Repurchase



1.      Repurchase of USD 100,000,000 Floating Rate Notes on 6 August 2007 -
     ISIN XS0302813901.

2.      Repurchase of USD 66,900,000 Floating Rate Notes on 22 October 2007 -
     ISIN XS0257113273.

3.      Repurchase of GBP 15,000,000 Floating Rate Notes on 14 November 2007 -
     ISIN XS0282816767.

4.      Repurchase of GBP 15,000,000 Floating Rate Notes on 14 November 2007 -
     ISIN XS0260168272.

5.      Repurchase of GBP 20,000,000 Floating Rate Notes on 5 December 2007 -
     ISIN XS0242138385.

6.      Repurchase of GBP 30,000,000 Floating Rate Notes on 20 December 2007 -
     ISIN XS0276816625.

7.      Repurchase of GBP 20,000,000 Floating Rate Notes on 16 January 2007 -
     ISIN XS0262557910.

8.      Repurchase of GBP 7,500,000 Floating Rate Notes on 16 January 2007 -
     ISIN XS0265820166.



CAPITAL NOTE - Issuance



Final Terms dated 15 February 2007 relating to USD 19,999,800 Floating Rate
Notes - ISIN KYG281651847.



INCOME NOTE - Issuance



1.   Final terms dated 15 May 2007 relating to USD 14,000,000 Floating Rate
     Notes - ISIN: XS0300857108.

2.   Final terms dated 15 May 2007 relating to EUR 14,000,000 Floating Rate
     Notes - ISIN: XS0300856985.

3.   Final terms dated 15 May 2007 relating to EUR 7,000,000 Floating Rate
     Notes - ISIN: XS0300856803.

4.   Final terms dated 15 May 2007 relating to GBP 7,000,000 Floating Rate
     Notes - ISIN: XS0300856472.

5.   Final terms dated 15 June 2007 relating to GBP 3,000,000 Floating Rate
     Notes - ISIN: XS0304588931.

6.   Final terms dated 15 June 2007 relating to EUR 3,000,000 Floating Rate
     Notes - ISIN: XS0304589665.

7.   Final terms dated 15 June 2007 relating to USD 11,000,000 Floating Rate
     Notes - ISIN: XS0304557381.

8.   Final terms dated 15 June 2007 relating to EUR 6,000,000 Floating Rate
     Notes - ISIN: XS0304590598.

9.   Final terms dated 15 June 2007 relating to USD 15,000,000 Floating Rate
     Notes - ISIN: XS0304556227.

10.  Final terms dated 16 July 2007 relating to USD 5,000,000 Floating Rate
     Notes - ISIN: XS0309807195.

11.  Final terms dated 16 July 2007 relating to EUR 20,000,000 Floating Rate
     Notes - ISIN: XS0310186092.

12.  Final terms dated 16 July 2007 relating to USD 10,000,000 Floating Rate
     Notes - ISIN: XS0309807351.

13.  Final terms dated 1 August 2007 relating to EUR 34,000,000 Floating Rate
     Notes - ISIN: XS0313529678.

14.  Final terms dated 15 August 2007 relating to EUR 5,000,000 Floating Rate
     Notes - ISIN: XS0313466905.

15.  Final terms dated 15 August 2007 relating to EUR 10,000,000 Floating Rate
     Notes - ISIN: XS0313467119.

16.  Final terms dated 15 August 2007 relating to EUR 15,000,000 Floating Rate
     Notes - ISIN: XS0313923814.

17.  Final terms dated 15 August 2007 relating to USD 30,000,000 Floating Rate
     Notes - ISIN: XS0314290999.

18.  Final terms dated 15 August 2007 relating to USD 10,000,000 Floating Rate
     Notes - ISIN: XS0316553402.



INCOME NOTE - Repurchase



1.   Repurchase of EUR 54,000,000 Floating Rate Notes on 19 September 2007 -
     ISIN XS0300856985.

2.   Repurchase of USD 10,000,000 Floating Rate Notes on 13 November 2007 -
     ISIN XS0312060147.

3.   Repurchase of EUR 10,000,000 Floating Rate Notes on 23 November 2007 -
     ISIN XS0300856803.

4.   Repurchase of EUR 10,000,000 Floating Rate Notes on 30 January 2008 -
     ISIN XS0300856985.



Additional Announcements


6 September 2007 - August 2007 Portfolio Commentary

14 December 2007 - Press Release re Citi Support Facility

15 February 2008 - Citi Support Facility disclosure


The above additional announcements are available for inspection on the
Regulatory News Service of the London Stock Exchange.



General

Any document or information that continues to be available to the public via the
UK Listing Authority's Document Viewing Facility (or otherwise) which has been
included in a previous Annual Information Update published by or on behalf of
Dorada Corporation.



                      This information is provided by RNS
            The company news service from the London Stock Exchange
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