/raid1/www/Hosts/bankrupt/TCREUR_Public/130312.mbx
T R O U B L E D C O M P A N Y R E P O R T E R
E U R O P E
Tuesday, March 12, 2013, Vol. 14, No. 50
Headlines
B U L G A R I A
BULGARIAN ENERGY: May Face Bankruptcy; Owes BGN1 Billion
C Y P R U S
* CYPRUS: To Seek Share of Athens' Bank Recapitalization Package
G R E E C E
DRYSHIPS INC: Incurs $129.8 Million Net Loss in Fourth Quarter
REVOLVER 2008-1: Fitch Affirms 'CCC' Rating on Class A Notes
H U N G A R Y
EMG MEDIACSOPORT: Seeks Bankruptcy; Fails to Repay Debt
I R E L A N D
IRISH BANK: IBOA to Meet with Liquidators Over Redundancies
I T A L Y
BANCA MONTE: Nomura Holdings Files Suit Over Derivatives Dispute
L U X E M B O U R G
INTELSAT SA: Plans to Redeem US$915 Million 2017 PIK Notes
N E T H E R L A N D S
* NETHERLANDS: Corporate Bankruptcies Hit Record High in February
P O R T U G A L
METROPOLITANO DE LISBOA: S&P Affirms 'B' Issuer Credit Rating
MILLENNIUMBCP AGEAS: S&P Affirms 'BB' IFS Rating; Outlook Stable
S P A I N
IBERIA LINEAS: IAG Backs Mediator's 3,147 Job Cut Plan
IM FTPYME 7: S&P Lowers Rating on Class C Notes to 'B+'
* SPAIN: Lenders Won't Accept Haircuts on Highway Companies' Debt
U N I T E D K I N G D O M
CUI GLOBAL: Intends to Acquire Orbital-UK for GBP17 Million
J CLARK: In Receivership After Late Payments
JESSOPS PLC: HMRC, PPF Unlikely to Recover Claims
X X X X X X X X
* Large Companies with Insolvent Balance Sheets
*********
===============
B U L G A R I A
===============
BULGARIAN ENERGY: May Face Bankruptcy; Owes BGN1 Billion
--------------------------------------------------------
Lyubomir Mihaylov at Standart reports that Bulgarian Energy
Holding CEO Mihail Andonov told the Russian daily Komsomolskaya
Pravda the power generating system in Bulgaria is experiencing
serious financial difficulties.
Mr. Andonov said the company's debts have reached BGN1 billion,
Standart relates.
According to Standart, Mr. Andonov warned that the holding's
collapse, which may pull down the whole energy sector in
Bulgaria, could be prevented only with an emergency loan of at
least half a billion euro.
However, as a state-run company, the Bulgarian energy holding
needs a permit from economy ministry to apply for a loan, which
is not an option given the political crisis in Bulgaria, Standart
notes.
===========
C Y P R U S
===========
* CYPRUS: To Seek Share of Athens' Bank Recapitalization Package
----------------------------------------------------------------
Kerin Hope and Andreas Hadjipapas at The Financial Times report
that officials in Nicosia said President Nicos Anastasiades of
Cyprus will ask Athens to hand over EUR2 billion from its own
bank recapitalization package to rescue Cypriot banks with
operations in Greece.
The unusual request comes as Cypriot officials desperately try to
avert a so-called haircut of bank deposits held on the island as
part of a proposed EUR17 billion bailout being negotiated with
the EU and International Monetary Fund, the FT relates.
Mr. Anastasiades, as cited by the FT, said his government would
"never" agree to a haircut of bank deposits, despite pressure on
the deputy leader of his Democratic Rally party to accept such a
move during meetings with IMF officials in Washington.
According to the FT, A senior Greek banker who declined to be
identified said: "This transfer would be hard to justify, given
that there's barely enough funding available for the Greek banks,
while the economy is still deteriorating, with more non-
performing loans in the system than predicted by adverse
scenarios."
Greek banks have been allocated EUR50 billion for
recapitalization as part of the country's latest EUR172 billion
bailout package by the European Union and International Monetary
Fund, after incurring heavy losses on their holdings of
government bonds in last year's partial sovereign default, the FT
discloses.
Another Greek banker pointed out potential legal problems if
Athens were to provide financial support for Cypriot banks, the
FT notes.
The Cypriot bailout would include EUR10 billion to recapitalize
the island's banks with the bulk of funding going to Bank of
Cyprus and Popular Bank, which were hit hard by writedowns on
Greek bondholdings as well as high levels of non-performing loans
in Greece, the FT says.
===========
G R E E C E
===========
DRYSHIPS INC: Incurs $129.8 Million Net Loss in Fourth Quarter
--------------------------------------------------------------
Dryships Inc. reported a net loss attributable to the Company of
US$129.84 million on US$282.86 million of revenue for the three
months ended Dec. 31, 2012, as compared with a net loss
attributable to the Company of US$6.22 million on US$328.18
million of revenue for the same period a year ago.
For the year ended Dec. 31, 2012, Dryships incurred a net loss
attributable to the Company of US$246.77 million on US$1.21
billion of revenue, as compared with a net loss attributable to
the Company of US$70.12 million on US$1.07 billion of revenue
during the prior year.
The Company's balance sheet at Dec. 31, 2012, showed US$8.87
billion in total assets, US$5.01 billion in total liabilities and
US$3.86 billion in total stockholders' equity.
George Economou, Chairman and Chief Executive Officer of the
Company, commented, "We continue to be bearish about the short-
term performance of the shipping markets. Both tanker and
drybulk spot charter rates continue to hover around historic
lows. Unfortunately this comes at a time when most of our
lucrative legacy charters expire.
"As we have mentioned in previous quarters, low-cost financing
for traditional shipping assets is generally less available than
before and therefore the optimization of our newbuilding programs
is our top priority right now. We sold our only two unfinanced
tankers and eliminated approximately US$100 million in CAPEX.
With respect to our Drybulk newbuilding program in China, we are
still in discussions with the shipyards in this respect to reduce
and prolong our CAPEX program. This process was never going to
be easy but we still believe a deal with a shipyard could be
struck. Alternatively, we are seeing interest for our vessels in
the S&P market."
A copy of the press release is available for free at:
http://is.gd/SnSjQ2
About DryShips Inc.
Based in Greece, DryShips Inc. -- http://www.dryships.com/--
-- owns and operates drybulk carriers and offshore oil
deep water drilling units that operate worldwide. As of
Sept. 10, 2010, DryShips owns a fleet of 40 drybulk carriers
(including newbuildings), comprising 7 Capesize, 31 Panamax and 2
Supramax, with a combined deadweight tonnage of over 3.6 million
tons and 6 offshore oil deep water drilling units, comprising of
2 ultra deep water semisubmersible drilling rigs and 4 ultra deep
water newbuilding drillships.
DryShips's common stock is listed on the NASDAQ Global Select
Market where it trades under the symbol "DRYS".
On Nov. 25, 2010, DryShips Inc. entered into a waiver letter
for its US$230.0 million credit facility dated Sept. 10, 2007,
as amended, extending the waiver of certain covenants through
Dec. 31, 2010.
REVOLVER 2008-1: Fitch Affirms 'CCC' Rating on Class A Notes
------------------------------------------------------------
Fitch Ratings has affirmed Revolver 2008-1 plc's EUR900 million
Class A notes at 'CCCsf' and withdrawn the ratings.
Key Rating Drivers
The rating action reflects the numerous documentation amendments
that have been made by National Bank of Greece (NBG; 'CCC'/'C'),
the originator and servicer. Previous amendments in August 2011
included a change of the account bank definitions to allow the
reserve and comingling funds to be held at NBG. Largely as a
result of the amended account bank definition, which caused
substantial amounts of cash to be held with NBG, Fitch was
previously of the view that the ratings of the notes were capped
at the rating of NBG.
More recently, in September 2012, the transaction documentation
was amended by extending the default definition, reducing the
minimum seller share and extending the revolving period.
The extended default definition had the effect of topping up the
drawn reserve fund which could otherwise have contributed to
triggering an early amortization event, thereby extending the
life of the transaction. To Fitch's knowledge, all of the
amendments have been implemented with noteholder consent.
In light of the continuous modifications and in particular the
recent documentation amendments -- which have been executed
without notifying Fitch in a timely manner -- we are of the
opinion that the structural integrity of the transaction is
undermined such that our rating opinion can no longer be
maintained on this basis. Therefore, Fitch has withdrawn the
rating.
=============
H U N G A R Y
=============
EMG MEDIACSOPORT: Seeks Bankruptcy; Fails to Repay Debt
-------------------------------------------------------
Andras Gergely at Bloomberg News reports that EMG Mediacsoport, a
unit of Est Media, is asking the court to enter into bankruptcy.
According to Bloomberg, Est Media said in a statement that EMG is
unable to repay debt to both parent and outside creditors.
The statement said that the bankruptcy motion will not have an
impact on Est Media's own media business as EMG no longer played
"operative" role in group.
EMG Mediacsoport Vagyonkezelo operates a portfolio of online and
offline media outlets. The company's main holding Pesti Est Kft
publishes a network of free program guides in various large
cities in Hungary. EMG Mediacsoport Vagyonkezelo is based in
Lajos, Hungary. As of March 7, 2007, EMG Mediacsoport
Vagyonkezelo Kft is a subsidiary of GridLogic Informatics.
=============
I R E L A N D
=============
IRISH BANK: IBOA to Meet with Liquidators Over Redundancies
-----------------------------------------------------------
BreakingNews.ie reports that the finance union, the IBOA, was set
to meet with the special liquidators appointed to the Irish Bank
Resolution Corporation on Monday, March 11, in a dispute over
redundancies.
KPMG was set to meet with representatives for workers at the
IBRC, to discuss the outlook for employees affected by last
month's emergency wind up of the bank, BreakingNews.ie discloses.
The former Anglo Irish Bank employed 800 people, but when it was
wound up by the Oireachtas it brought uncertainty about jobs,
BreakingNews.ie relates.
Most workers were re-hired on monthly contracts, but those who
will lose their jobs are objecting to a package that will only
give them statutory redundancy rights, BreakingNews.ie notes.
Anglo Irish Bank was an Irish bank headquartered in Dublin from
1964 to 2011. It went into wind-down mode after nationalization
in 2009. In July 2011, Anglo Irish merged with the Irish
Nationwide Building Society, with the new company being named the
Irish Bank Resolution Corporation.
Standard & Poor's Ratings Services said that it lowered its long-
and short-term counterparty credit ratings on Irish Bank
Resolution Corp. Ltd. (IBRC) to 'D/D' from 'B-/C'. S&P also
lowered the senior unsecured ratings to 'D' from 'B-'. S&P then
withdrew the counterparty credit ratings, the senior unsecured
ratings, and the preferred stock ratings on IBRC. At the same
time, S&P affirmed its 'BBB+' issue rating on three government-
guaranteed debt issues.
The rating actions follow the Feb. 6, 2013, announcement that the
Irish government has liquidated IBRC.
=========
I T A L Y
=========
BANCA MONTE: Nomura Holdings Files Suit Over Derivatives Dispute
----------------------------------------------------------------
Elisa Martinuzzi and Sonia Sirletti at Bloomberg News report that
Nomura Holdings Inc. filed a claim in London against Banca Monte
Paschi di Siena SpA the same day Italy's third-biggest bank
lodged a suit against it in an Italian court in a dispute about
derivatives.
Nomura filed a claim on March 1, a court filing shows, on the
same day Monte Paschi made separate suits in Florence seeking
damages over two derivative contracts dubbed Alexandria and
Santorini, arranged respectively by Nomura and Deutsche Bank AG,
Bloomberg discloses.
According to Bloomberg, a person with knowledge of the matter
said Nomura is seeking a declaration from the British court that
its derivatives contracts with Monte Paschi are valid.
The Italian lender is seeking EUR700 million (US$910 million) in
damages from Nomura and Paschi's former managers, and EUR500
million from Deutsche Bank and former managers, Ansa newswire
reported March 7, citing Chief Executive Officer Fabrizio Viola,
Bloomberg relates.
Monte Paschi, the world's oldest bank, is being probed by
regulators and prosecutors over allegations the lender used the
two derivatives and a third one labeled Nota Italia to hide
losses, adding to the cost of its rescue, Bloomberg notes.
Banca Monte dei Paschi di Siena SpA -- http://www.mps.it/-- is
an Italy-based company engaged in the banking sector. It
provides traditional banking services, asset management and
private banking, including life insurance, pension funds and
investment trusts. In addition, it offers investment banking,
including project finance, merchant banking and financial
advisory services. The Company comprises more than 3,000
branches, and a structure of channels of distribution. Banca
Monte dei Paschi di Siena Group has subsidiaries located
throughout Italy, Europe, America, Asia and North Africa. It has
numerous subsidiaries, including Mps Sim SpA, MPS Capital
Services Banca per le Imprese SpA, MPS Banca Personale SpA, Banca
Toscana SpA, Monte Paschi Ireland Ltd. and Banca MP Belgio SpA.
* * *
As reported by the Troubled Company Reporter-Europe on Feb. 04,
2013, Standard & Poor's Ratings Services said that it lowered its
long-term counterparty credit rating on Italy-based Banca Monte
dei Paschi di Siena SpA (MPS) to 'BB' from 'BB+'. S&P also
lowered its rating on MPS' Lower Tier 2 subordinated notes to
'CCC+' from 'B-'. These ratings remain on CreditWatch,
where S&P originally placed them with negative implications on
Dec. 5, 2012. S&P lowered the ratings on MPS' junior
subordinated debt to 'CCC' from 'CCC+' and on its preferred stock
to 'CCC-' from 'CCC'. S&P also placed these ratings on
CreditWatch with negative implications. S&P affirmed its 'B'
short-term counterparty credit rating on the bank. The downgrade
follows MPS' recent announcement related to the investigation of
potential losses on three structured transactions.
===================
L U X E M B O U R G
===================
INTELSAT SA: Plans to Redeem US$915 Million 2017 PIK Notes
----------------------------------------------------------
Intelsat (Luxembourg) S.A. issued a notice of redemption pursuant
to the indenture governing its 11 1/2% / 12 1/2% Senior PIK
Election Notes due 2017 that it intends to redeem US$915,000,000
aggregate principal amount of the 2017 PIK Notes on April 5,
2013, at a redemption price equal to 105.75% of the principal
amount of the 2017 PIK Notes, plus accrued and unpaid interest
thereon to the redemption date.
The Redemption is conditioned on the completion of one or more
debt financings on or prior to the Redemption Date by Intelsat
Luxembourg on terms satisfactory to Intelsat Luxembourg providing
funds sufficient for Intelsat Luxembourg to pay the aggregate
redemption payment for the portion of the outstanding 2017 PIK
Notes to be redeemed on the Redemption Date.
About Intelsat
Luxembourg-based Intelsat is the leading provider of satellite
services worldwide. For over 45 years, Intelsat has been
delivering information and entertainment for many of the world's
leading media and network companies, multinational corporations,
Internet Service Providers and governmental agencies. Intelsat's
satellite, teleport and fiber infrastructure is unmatched in the
industry, setting the standard for transmissions of video, data
and voice services. From the globalization of content and the
proliferation of HD, to the expansion of cellular networks and
broadband access, with Intelsat, advanced communications anywhere
in the world are closer, by far.
Intelsat S.A. incurred a net loss of US$145 million in 2012, a
net loss of US$433.99 million in 2011, and a net loss of
US$507.76 million in 2010. The Company's balance sheet at
Dec. 31, 2012, showed US$17.30 billion in total assets, US$18.53
billion in total liabilities and a US$1.27 billion total Intelsat
S.A. stockholders' deficit and US$45.67 million in noncontrolling
interest.
=====================
N E T H E R L A N D S
=====================
* NETHERLANDS: Corporate Bankruptcies Hit Record High in February
-----------------------------------------------------------------
The Associated Press reports that more Dutch companies declared
bankruptcy in February than at any time since records began in
1981.
The country's Central Bureau for Statistics also says Monday that
on a three-month average, bankruptcies are at their highest level
on record: around 680 per month, not counting one-person
businesses, the AP discloses.
The Dutch economy is struggling as the government cuts spending
and increases taxes to meet European budget rules that require
countries to get their budget deficits down to 3% of their annual
gross domestic product, the AP says.
Real estate markets are especially weak, due to a glut in office
space and cuts in residential mortgage deductions, the AP notes.
===============
P O R T U G A L
===============
METROPOLITANO DE LISBOA: S&P Affirms 'B' Issuer Credit Rating
-------------------------------------------------------------
Standard & Poor's Ratings Services said it revised its outlook to
stable from negative on Portuguese subway company Metropolitano
de Lisboa E.P. (Metro).
At the same time, S&P affirmed its 'B' long-term issuer credit
rating on Metro.
The rating action mirrors S&P's similar action on Portugal. S&P
now considers that the Portuguese government has an increased
ability to provide Metro, which it fully owns, with funds to
cover the company's liquidity needs.
S&P considers that the main support to 100% government owned
Metro's rating stems from the Portuguese government, which has
gradually developed a policy of providing extraordinary support
to Metro if needed. This policy fortifies the link between the
company and the central government, which S&P views as "integral"
as its criteria define the term.
Specifically, S&P sees the government's sound track record of
timely and sufficient extraordinary support to Metro since June
2011, and believes this support is very likely to persist during
our forecast horizon until the end of 2013.
The stable outlook mirrors that on Portugal, which in turn
balances S&P's view of Portugal's near-term fiscal and economic
challenges against continued multilateral support and S&P's view
of the government's strong commitment to reform.
S&P might raise its rating on Metro if S&P upgraded Portugal and
saw an improvement in Metro's SACP or if S&P saw a strengthening
in the company's role for the Portuguese government that in turn
led S&P to view this role as "critical" versus "very important"
currently.
Conversely, S&P might lower the rating on Metro if S&P downgraded
Portugal or S&P saw a weakening in its role for or link with the
government. If this occurred, S&P could revise down its opinion
of the likelihood of extraordinary government support to the
company.
MILLENNIUMBCP AGEAS: S&P Affirms 'BB' IFS Rating; Outlook Stable
----------------------------------------------------------------
Standard & Poor's Ratings Services said it revised its outlook on
the core entities of Portuguese insurer Millenniumbcp Ageas Grupo
Segurador S.G.P.S. (together, MAGS) to stable from negative. At
the same time, S&P affirmed its 'BB' insurer financial strength
and long-term counterparty credit ratings on these entities.
The rating action mirrors S&P's similar action on Portugal.
Under S&P's rating criteria, sovereign risk is a key factor that
influences the financial strength of insurers. As a purely
domestic insurer, Portugal's liabilities represent all of MAGS'
insurance liabilities.
S&P also factors in MAGS' high exposure to the Portuguese
government through its fixed-income portfolio--government bonds
represented 26% of the portfolio on Sept. 30, 2012--and to its
banking shareholder, Banco Comercial Portugues S.A.
(Millenniumbcp) through fixed-income securities or short-term
deposits, representing 9% of the Millenniumbcp Ageas group's
total invested assets on Sept. 30, 2012.
S&P's ratings on insurers are generally constrained by the long-
term local currency rating on the sovereign where they are
domiciled, except in demonstrated cases of extraordinary
financial strength or where other characteristics mitigate
domestic risk factors, in application of S&P's criteria,
"Factoring Country Risk Into Insurer Financial Strength Ratings,"
published on Feb. 11, 2003.
The stable outlook on MAGS reflects that on Portugal, and factors
in S&P's expectations that MAGS will likely sustain its business
and financial profiles, and particularly its investments and
risk-based capital position, in the context of Portugal's
economy.
S&P could upgrade MAGS mainly if S&P was to raise its sovereign
ratings on Portugal, which would result in an improvement in the
insurer's financial profile.
S&P could downgrade MAGS primarily if S&P was to lower its
ratings on Portugal and Portuguese financial institutions or the
economic environment further deteriorated and adversely affected
MAGS' business or financial profiles.
=========
S P A I N
=========
IBERIA LINEAS: IAG Backs Mediator's 3,147 Job Cut Plan
------------------------------------------------------
Robert Wall and Manuel Baigorri at Bloomberg News report that
British Airways' parent International Consolidated Airlines Group
SA backed a mediator's plan for 3,147 job cuts at unprofitable
Spanish unit Iberia as the proposal was accepted by all labor
groups bar the Sepla pilots union, which has yet to reach a
decision.
According to Bloomberg, the statement said that IAG's board
decided on Sunday to approve a deal paring job losses from the
3,807 it had pledged to drive through in the absence of an
agreement. Bloomberg relates that Manuel Atienza, a spokesman
for UGT union, said all workforce representatives other than
Sepla have also accepted the package.
IAG Chief Executive Officer Willie Walsh is seeking a EUR600
million (US$780 million) earnings turnaround at Iberia by 2015
after the Madrid-based business propelled Europe's third-largest
airline group to an operating loss of EUR23 million last year,
Bloomberg discloses. Bloomberg notes that Sepla said the
settlement, proposed by Spanish mediator Gregorio Tudela,
includes cuts to pay.
Mr. Atienza, as cited by Bloomberg, said unions still have to
submit the proposal to members for ratification, while Sepla
hasn't indicated whether it will back the deal. He said that
labor groups will discuss details over the next 48 hours before
meeting with the mediator and Iberia management on March 13 to
formally endorse the terms, Bloomberg relates.
Iberia Lineas Aereas de Espana, S.A., commonly known as Iberia,
is the flag carrier airline of Spain. Based in Madrid, it
operates an international network of services from its main bases
of Madrid-Barajas Airport and Barcelona El Prat Airport.
IM FTPYME 7: S&P Lowers Rating on Class C Notes to 'B+'
-------------------------------------------------------
Standard & Poor's Ratings Services lowered and removed from
CreditWatch negative its credit ratings on IM FTPYME Sabadell 7,
Fondo de Titulizacion's class B and C notes. At the same
time, S&P has raised its rating on the class A2(G) notes.
The rating actions follow the application of S&P's updated
criteria for European collateralized loan obligations (CLOs)
backed by small and midsize enterprises (SMEs), the application
of S&P's 2012 counterparty criteria, as well as its assessment of
the transaction's performance using the latest available investor
report and portfolio data from the servicer.
On Jan. 17, 2013, when S&P updated SME CLO criteria became
effective, it placed on CreditWatch negative its ratings on the
class B and C notes.
CREDIT ANALYSIS
S&P has applied its updated European SME CLO criteria to
determine the scenario default rates (SDRs) for this transaction.
S&P's qualitative originator assessment is moderate because of
the lack of data provided by the originator, Banco de Sabadell
S.A. Taking into account Spain's Banking Industry Country Risk
Assessment (BICRA) of 6, S&P has applied a one-notch downward
adjustment to the archetypal European SME average credit quality
assessment. S&P further applied a portfolio selection adjustment
of minus one notch based on the transaction's performance. As a
result, S&P's average credit quality assessment of the portfolio
is 'b-'.
The originator did not provide S&P with internal credit scores,
therefore S&P assumed that each loan in the portfolio had a
credit quality that is equal to S&P's average credit quality
assessment of the portfolio. S&P then used CDO Evaluator to
determine the portfolio's 'AAA' SDR, which is 75.48%.
S&P has reviewed historical originator default data, and assessed
market trends and developments, macroeconomic factors, changes in
country risk, and the way these factors are likely to affect the
loan portfolio's creditworthiness.
As a result of this analysis, S&P's 'B' SDR is 6%.
The SDRs for rating levels between 'B' and 'AAA' are interpolated
in line with S&P's European SME CLO criteria.
RECOVERY RATE ANALYSIS
At each liability rating level, taking into account the observed
historical recoveries, S&P assumed a weighted-average recovery
rate (WARR) by taking into consideration the asset type, its
seniority, and the country recovery grouping.
As a result of this analysis, S&P's WARR assumptions in 'A+',
'BBB+', and 'B+' scenarios were 39.09%, 42.02%, and 56.08%,
respectively.
CASH FLOW ANALYSIS
S&P subjected the capital structure to various cash flow
scenarios, incorporating different default patterns and interest
rate curves, to determine each tranche's passing rating level
under our European SME CLO criteria. In addition, S&P did not
give benefit to the swap in our analysis
SUPPLEMENTAL TESTS
S&P's ratings on the class A(G), B and C notes were not
constrained by the application of the supplemental tests because
of the transaction's diversification, despite its pool factor of
33.04%.
COUNTERPARTY RISK
As swap counterparty, Banco de Sabadell covers basis risk and
ensures a certain yield in the transaction. S&P has reviewed the
swap counterparty's downgrade provisions in the swap
documentation, which comply with S&P's 2012 counterparty
criteria. Nevertheless, under the documentation, the swap
counterparty is no longer eligible to remain in the transaction
and it has not taken the remedy actions covenanted in the
documents. Therefore, when S&P conducted its scenario analysis
at ratings above 'BB', S&P analyzed the transaction's cash flow
without giving benefit to the swap counterparty.
IM FTPYME SABADELL 7 relies more on the swap's support than other
Spanish SME CLO transactions that S&P rates. The issuer pays
interest to the swap. In turn, the swap counterparty pays to the
issuer the weighted-average coupon of the notes plus a margin
over a notional amount which is the outstanding balance of the
notes. Given the pool factor of 33.04%, the transaction has
deleveraged considerably, which has subsequently increased the
level of available credit enhancement. This increase in credit
enhancement mitigates the lack of benefit S&P has given to the
swap, given the stability of the credit quality of the assets and
the lack of concentrations risk in the transaction.
S&P has raised to 'A+ (sf)' from 'A- (sf)' its rating on the
class A2(G) notes based on its considerable deleveraging. At the
same time, S&P has lowered and removed from CreditWatch negative
S&P's ratings on the class B and C notes due to the application
of its updated European SME CLO criteria.
IM FTPYME Sabadell 7 is a cash flow CLO transaction that
securitizes a portfolio of SME loans that Banco de Sabadell
originated in Spain. The transaction closed in September 2008.
STANDARD & POOR'S 17G-7 DISCLOSURE REPORT
SEC Rule 17g-7 requires an NRSRO, for any report accompanying a
credit rating relating to an asset-backed security as defined in
the Rule, to include a description of the representations,
warranties and enforcement mechanisms available to investors and
a description of how they differ from the representations,
warranties and enforcement mechanisms in issuances of similar
securities. The Rule applies to in-scope securities initially
rated (including preliminary ratings) on or after Sept. 26, 2011.
If applicable, the Standard & Poor's 17g-7 Disclosure Report
included in this credit rating report is available at:
http://standardandpoorsdisclosure-17g7.com
RATINGS LIST
Class Rating
To From
IM FTPYME Sabadell 7 Fondo de Titulizacion
EUR1 Billion Floating-Rate Notes
Rating Raised
A2(G) A+ (sf) A- (sf)
Ratings Lowered and Removed From CreditWatch Negative
B BBB+ (sf) A- (sf)/Watch Neg
C B+ (sf) BB- (sf)/Watch Neg
* SPAIN: Lenders Won't Accept Haircuts on Highway Companies' Debt
-----------------------------------------------------------------
Ben Sills at Bloomberg News, citing Cinco Dias, reports Caixabank
and Bankia have told the Public Works Ministry that the lenders
won't accept haircuts on about EUR4 billion (US$5.2 billion) of
loans to highway concession companies that have filed for
bankruptcy.
According to Bloomberg, the newspaper said that Article 247 of
public sector contracts law obliges state to guarantee concession
co. liabilities if contract wound up early.
Bloomberg notes that the newspaper said AP-41, R-4, R-3, R-5, AP-
36 and AP-7 have sought protection from creditors, while R-2 and
M-12 are likely to seek protection.
===========================
U N I T E D K I N G D O M
===========================
CUI GLOBAL: Intends to Acquire Orbital-UK for GBP17 Million
-----------------------------------------------------------
CUI Global, Inc., has signed a Shareholder Purchase Agreement to
acquire 100% of the capital stock of Orbital Gas Systems Limited,
a United Kingdom-based provider of natural gas infrastructure and
advanced technology, including metering, odorization, remote
telemetry units and a diverse range of personalized gas
engineering solutions to the gas utilities, power generation,
emissions, manufacturing and automotive industries.
Effective upon completion of the acquisition, Orbital-UK will
become a wholly owned subsidiary of CUI Global. Andrew Ridge
will continue as the managing director of Orbital-UK. William
Clough will remain as president and CEO of CUI Global, and assume
the role of CEO of Orbital-UK. CUI Global does not expect any
organizational changes to Orbital-UK's operations in the United
Kingdom or elsewhere.
"We believe the acquisition offers significant synergies for
revenue growth. Orbital-UK's internationally recognized
expertise in the natural gas industry, including bringing
together the patented VE-technology with the Vergence(R) device
from CUI Global offer natural gas operators/users a comprehensive
solution set for the next generation of energy metering systems,"
stated William Clough, CUI Global's president & CEO.
While the Vergence Technology allows the natural gas operator to
quickly and accurately obtain Calorific Value (CV), Wobbe Index
(WI), Relative Density (RD), and Compression Factor (Z) in less
than three seconds; that analysis takes place after an 8 to 10
minute delay in capturing the natural gas sample from the
pipeline. The patented VE-Probe, on the other hand, allows the
sample to be obtained from the pipeline in less than two seconds.
Combining the two technologies, allows for a packaged device that
provides the natural gas operator/user a complete energy analysis
(from sample to results) in less than five (5) seconds -- a
process that now takes from 12 to as much as 40 minutes -- giving
the operator the ability to obtain almost "real-time" results
simply unavailable from any other current technologies.
In addition, Orbital-UK's in-house engineering capabilities,
manufacturing relationships, and R&D infrastructure are expected
to accelerate the adoption of the Vergence device, while allowing
the company to control all calibration, packaging, delivery,
engineering support and more within the Orbital-UK facilities;
thus allowing CUI Global to capture an even larger percentage of
operating margins from the final, packaged device. Anticipated
cost synergies include leveraging existing sales and distribution
infrastructure for cross-selling opportunities.
The acquisition will also immediately add significant revenues
and earnings to CUI Global. The SPA calls for purchase of all of
the outstanding shares in Orbital-UK and its subsidiary for a
gross purchase price of GBP17 million. The transaction is
expected to close by April 30, 2013, subject to customary closing
conditions, including regulatory approval. The purchase is to be
funded in part by a future equity offering and available cash
resources.
Orbital-UK's unaudited historical results for calendar year 2012
show that it produced net income of approximately US$3.1 million
on gross revenues in excess of US$23 million. An unaudited pro
forma condensed combined statement of operations for FY 2012
results in net earnings of US$511,399 or $0.03 earnings per share
on gross revenues of more than US$63.9 million.
With Orbital-UK's capabilities, reputation, and extensive
contacts throughout the natural gas industry, this acquisition
allows CUI Global to speed up and enhance the development and
adoption of its proprietary Vergence Technology. In addition,
Orbital-UK will be working to rapidly bring its natural gas
product line to a broader international market using CUI Global's
market partners and global distribution capabilities.
"This transaction effectively positions CUI Global for even more
accelerated growth," explained Clough. "Orbital-UK's talent base
of technical employees and their world-class engineering and
support team, not to mention their sterling reputation within the
natural gas industry, will enable us to speed market adoption of
our Vergence GasPT2 device; while CUI Global's established
network of global distributors will allow Orbital-UK to market
its broad portfolio of natural gas products to a much larger
audience."
"This is a very significant company milestone for Orbital,"
explained Orbital-UK's managing director, Andy Ridge. "With the
combination of these two companies we will now be able to expand
our programs and services for our existing customer base, as well
as pursue growth opportunities across a much broader market. As
part of a global entity, we expect enhanced visibility in the
market and heightened awareness for our company offerings.
Further, the addition of the Vergence GasPT2 technology to our
current product line is expected to increase our ability to
penetrate new markets and thereby grow our core business."
Since it was formed in 1984, Orbital-UK has focused its attention
on providing superior customer service, advanced technology
solutions and a dedication to product quality unequaled in the
natural gas industry. Orbital-UK's customers, including National
Grid (the national gas transmission company for the UK), all of
the UK's Gas distribution networks, and others such as Jaguar
Motor Cars, BMW, and more, have come to rely on its team of
talented and knowledgeable employees for crucial engineering
support and specialized knowledge. Its value-added services and
innovative products reduce the time it takes to identify, design
and begin cost effective delivery of new technology to the
natural gas and other industries.
"The acquisition of Orbital-UK, with the associated increase in
revenues and earnings, and the dramatic increase in our ability
to penetrate the natural gas market, while capturing even more
operational margin, all combine to further our strategy of making
opportunistic, synergistic acquisitions of either technology,
personnel, or companies that will increase our growth and,
thereby, enhance our shareholder value -- this transaction
certainly encapsulates all of those positive elements," Clough
concluded.
A copy of the Share Purchase Agreement is available at:
http://is.gd/CzqXMf
About CUI Global
Tualatin, Ore.-based CUI Global, Inc., formerly known as
Waytronx, Inc., is a platform company dedicated to maximizing
shareholder value through the acquisition, development and
commercialization of new, innovative technologies.
CUI Global reported a net loss allocable to common stockholders
of US$48,763 in 2011, compared with a net loss allocable to
common stockholders of US$7.01 million in 2010.
As reported by the TCR on April 8, 2011, Webb & Company, in
Boynton Beach, Florida, expressed substantial doubt about CUI
Global's ability to continue as a going concern. The independent
auditors noted that the Company has a net loss of US$7,015,896, a
working capital deficiency of US$675,936 and an accumulated
deficit of US$73,596,738 at Dec. 31, 2010. Webb & Company did
not include a "going cocern qualification" in its report on the
Company's 2011 financial results.
The Company's balance sheet at Sept. 30, 2012, showed
US$36.61 million in total assets, US$11.79 million in total
liabilities and US$24.82 million in total stockholders' equity.
J CLARK: In Receivership After Late Payments
--------------------------------------------
Peter Ranscombe at Scotsman reports that A J Clark Group has
blamed late payments by customers and a squeeze on profit margins
for its collapse into receivership.
In a statement released, Kilmarnock-based A J Clark Group said
that its directors had placed the company into receivership.
"Over the past four or five years, A J Clark has been
relentlessly squeezed by slow-paying customers and a decrease in
the profitability of its building contracts . . . . Against this
challenging background, the directors and staff of A J Clark have
worked tirelessly to keep the company trading in the hope of
better times. Sadly, the directors have concluded that, with
little sign of an improved business environment and a forecast
shortfall in future orders, they had no option but to take the
appropriate steps to cease trading," the company said in a
statement obtained by the news agency.
Alan Brown from accountancy firm PWC has been appointed as the
receiver of AJ Clark and administrator of house-building sister
firm, ATD Developments.
The report notes that the Federation of Small Businesses has
repeatedly warned of the need for companies and government bodies
to pay their bills on time to help firms' cash flows.
JESSOPS PLC: HMRC, PPF Unlikely to Recover Claims
-------------------------------------------------
James Quinn at The Sunday Telegraph reports that Jessops, which
was placed into administration in January, collapsed under debts
of GBP81 million, a third higher than original estimates.
The Sunday Telegraph can reveal that the bulk of creditors --
including HM Revenue and Customs and the Government's Pension
Protection Fund (PPF) -- will receive no payments as a result of
the company's collapse.
According to the Sunday Telegraph, the largest single creditor,
lender HSBC, was owed GBP28.8 million at the point of
administration, on which it is likely to suffer a "significant
shortfall". The PPF, which had GBP2.5 million worth of loans to
Jessops as a result of an earlier financial restructuring, is
unlikely to see any money, the Sunday Telegraph says.
Proceeds of GBP1.65 million were realised from that sale and of
Jessops customer database to a third party, the Sunday Telegraph
discloses.
The data within the 22-page report lays bare the poor financial
health Jessops was in prior to its collapse, the Sunday Telegraph
relates.
According to the Sunday Telegraph, new accounts contained within
the PwC report show that in the period from January 2 to November
25 last year, the business made a loss before tax of GBP8.8
million on sales of GBP194.9 million.
The Sunday Telegraph recounts administrator Edward Williams says
that by late 2012 it became clear to Jessops management that
"further funding would be needed to allow the business to trade
through 2013".
He also points out that around the same time, certain suppliers
restricted the firm's credit lines, so further finance was
needed, the Sunday Telegraph discloses.
The company was put into administration after management failed
to reach a restructuring agreement with key suppliers and HSBC,
the Sunday Telegraph relates.
According to the Sunday Telegraph, HM Revenue and Customs was
owed GBP1.3 million in unpaid VAT, National Insurance and PAYE
contributions, which, as an unsecured creditor, will not be
repaid.
Unsecured creditors, including manufacturers Nikon and Cannon,
were left owed GBP42.6 million at the point of collapse, the
Sunday Telegraph notes. However GBP23 million of that loss has
been returned through stock as a result of suppliers' retention
of title, the Sunday Telegraph says.
The information was contained within a statement of affairs drawn
up by administrator PwC and sent to creditors last week, a copy
of which has been seen by The Sunday Telegraph.
The report also reveals for the first time the amounts PwC was
able to sell Jessops' assets for, the Sunday Telegraph discloses.
A joint venture set up by entrepreneur, Peter Jones, and retail
restructuring specialist, Hilco, bought the Jessops brand,
residual stock and certain other assets, the Sunday Telegraph
notes.
Headquartered in Leicester, United Kingdom, Jessops plc --
http://www.jessops.com/-- is a holding company of a group of
companies whose principal activity is the retail of photographic
products and services. It operates via the Internet and through
mail order and telesales. Jessops plc sells a range of digital
and analogue cameras, digital and analogue camcorders,
binoculars, digital home print solutions, memory cards, film and
photographic materials, as well as a range of accessories for the
photographic market, including its own brand products. The
Company also provides developing and printing, and digital
imaging services. The Company is engaged in the business of
selling branded photographic equipment. Its subsidiaries include
Camera Bond Limited, Camera Mezz Limited, Camera Equity Limited,
The Jessop Group Limited, Well Hall (Jersey) Limited, Expert
Imaging Limited, MacKinnons of Dyce Limited and Jessops
Photographic (Ireland) Limited.
===============
X X X X X X X X
===============
* Large Companies with Insolvent Balance Sheets
-----------------------------------------------
Total
Shareholders Total
Equity Assets
Company Ticker (US$MM) (US$MM)
------- ------ ------ ------
AUSTRIA
-------
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BELGIUM
-------
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BULGARIA
--------
PETROL AD 5PET BU -28384533.15 365674871.9
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PETROL AD 5PET EU -28384533.15 365674871.9
CROATIA
-------
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CYPRUS
------
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LIBRA GROUP PLC LHG EU -39648682.41 209021322.6
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CZECH REPUBLIC
--------------
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DENMARK
-------
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FRANCE
------
3 SUISSES FRANCE 4724713Z FP -77651653.29 330011633.6
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GUENTHER & SOHN GUS PZ -9612095.264 130075209
GUENTHER & SOHN GUS EO -9612095.264 130075209
GUENTHER & SOHN GUS GR -9612095.264 130075209
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KABEL DEUTSC-ADR KBDHY US -1921707863 3240567525
KABEL DEUTSCHLAN KD8 TH -1921707863 3240567525
KABEL DEUTSCHLAN KD8 S1 -1921707863 3240567525
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KABEL DEUTSCHLAN KD8 TQ -1921707863 3240567525
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MANIA TECHNOLOGI MNI1 EO -35060809.35 107465713.6
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MANIA TECHNOLOGI 2260970Z GR -35060809.35 107465713.6
MANIA TECHNOLOGI MNIG IX -35060809.35 107465713.6
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MATERNUS KLINI-N MAK1 GR -17249775.07 161290141
MATERNUS-KLINIKE MAK GR -17249775.07 161290141
MATERNUS-KLINIKE MNUKF US -17249775.07 161290141
MATERNUS-KLINIKE MAK EO -17249775.07 161290141
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MATERNUS-KLINIKE MAK PZ -17249775.07 161290141
MATERNUS-KLINIKE MAK TH -17249775.07 161290141
MATERNUS-KLINIKE MAK EU -17249775.07 161290141
MATERNUS-KLINIKE MAKG IX -17249775.07 161290141
NORDAG AG DOO1 GR -482449.8788 144432986.2
NORDAG AG-PFD DOO3 GR -482449.8788 144432986.2
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NORDSEE AG 533061Q GR -8200551.142 194616922.6
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NUERNB HYPOTHEK 0478131D GR -2104037124 5.86E+11
PFLEIDERER AG PBVDF US -97572495.87 1832488196
PFLEIDERER AG-BE PFD GR -97572495.87 1832488196
PFLEIDERER A-RTS PFDB GR -97572495.87 1832488196
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PFLEIDERER-REG PFD4 EB -97572495.87 1832488196
PFLEIDERER-REG PFD4 EU -97572495.87 1832488196
PFLEIDERER-REG PFD4GBP EO -97572495.87 1832488196
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PFLEIDERER-REG PFD4 PZ -97572495.87 1832488196
PFLEIDERER-REG PFD4 GR -97572495.87 1832488196
PFLEIDERER-REG PFD4 QM -97572495.87 1832488196
PFLEIDERER-REG PFD4GBX EU -97572495.87 1832488196
PFLEIDERER-REG PFD4 NQ -97572495.87 1832488196
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PRIMACOM AG PRC2 GR -18656751.16 610380925.7
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PRIMACOM AG-ADR+ PCAG ES -18656751.16 610380925.7
RAG ABWICKL-REG ROSG PZ -1744124.2 217776125.8
RAG ABWICKL-REG ROS GR -1744124.2 217776125.8
RAG ABWICKL-REG ROS S1 -1744124.2 217776125.8
RAG ABWICKL-REG ROS1 EO -1744124.2 217776125.8
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RAG ABWICKL-REG RSTHF US -1744124.2 217776125.8
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RINOL AG RNLAF US -1.171602 168095049.1
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ROSENTHAL AG-ADR RSTHY US -1744124.2 217776125.8
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SINNLEFFERS AG WHG GR -4491635.615 453887060.1
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SOLON SE SOO1 GR -138663225.9 627116116.4
SOLON SE SOO1USD EO -138663225.9 627116116.4
SOLON SE SOO1 TH -138663225.9 627116116.4
SOLON SE SGFRF US -138663225.9 627116116.4
SOLON SE SOO1 TQ -138663225.9 627116116.4
SOLON SE SOO1 S1 -138663225.9 627116116.4
SOLON SE SNBZF US -138663225.9 627116116.4
SOLON SE SOO1 EO -138663225.9 627116116.4
SOLON SE SOON EO -138663225.9 627116116.4
SOLON SE SOO1 EU -138663225.9 627116116.4
SOLON SE SOO1 BQ -138663225.9 627116116.4
SOLON SE SOON GR -138663225.9 627116116.4
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SOLON SE-RTS 3664247Z GR -138663225.9 627116116.4
SPAR HANDELS-AG 773844Q GR -442426239.7 1433020961
SPAR HANDELS-AG SPHFF US -442426239.7 1433020961
SPAR HAND-PFD NV SPA3 GR -442426239.7 1433020961
TA TRIUMPH-ACQ TWNA GR -124667889.5 375247226.8
TA TRIUMPH-ACQ TWNA EU -124667889.5 375247226.8
TA TRIUMPH-ADLER TTZAF US -124667889.5 375247226.8
TA TRIUMPH-ADLER TWNG IX -124667889.5 375247226.8
TA TRIUMPH-ADLER TWN PZ -124667889.5 375247226.8
TA TRIUMPH-ADLER 0292922D GR -124667889.5 375247226.8
TA TRIUMPH-ADLER TWN EU -124667889.5 375247226.8
TA TRIUMPH-ADLER TWN EO -124667889.5 375247226.8
TA TRIUMPH-A-RTS 1018916Z GR -124667889.5 375247226.8
TA TRIUMPH-NEW TWN1 GR -124667889.5 375247226.8
TA TRIUMPH-RT TWN8 GR -124667889.5 375247226.8
TA TRIUMPH-RTS 3158577Q GR -124667889.5 375247226.8
GREECE
------
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AG PETZETAKIS SA PETZK EO -110812812.5 206429374.1
AG PETZETAKIS SA PETZK PZ -110812812.5 206429374.1
AG PETZETAKIS SA PTZ1 GR -110812812.5 206429374.1
AG PETZETAKIS SA PTZ GR -110812812.5 206429374.1
AG PETZETAKIS SA PETZK EU -110812812.5 206429374.1
AG PETZETAKIS SA PETZK GA -110812812.5 206429374.1
ALAPIS HOLDING 3385874Q GA -670700605.1 924332371.1
ALAPIS HOLDING I V2R GR -670700605.1 924332371.1
ALAPIS HOLDING I VTERF US -670700605.1 924332371.1
ALAPIS HOLDING I FFE GR -670700605.1 924332371.1
ALAPIS HOLDING I ALAPIS EU -670700605.1 924332371.1
ALAPIS HOLDING I VETER GA -670700605.1 924332371.1
ALAPIS HOLDIN-RT ALAPISR GA -670700605.1 924332371.1
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ALAPIS SA ALAPI EO -670700605.1 924332371.1
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ATLANTIC SUPERMA ATLA PZ -76261648.16 315891294.2
EDRASIS C. PSALL EDRAR GA -68424544.93 193206489.9
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EDRASIS PSALIDAS EDRA EO -68424544.93 193206489.9
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EDRASIS PSALIDAS EDRA GA -68424544.93 193206489.9
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EMPEDOS SA EMPED GA -33637669.62 174742646.9
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HELLAS ONLINE SA HOL GA -4264723.817 411173224.1
HELLAS ONLIN-RTS HOLR GA -4264723.817 411173224.1
KATSELIS SON-P R KATPD GA -84623057.15 115632796.2
KATSELIS SONS-PF KATSP GA -84623057.15 115632796.2
KATSELIS SONS-RT KATKD GA -84623057.15 115632796.2
LAMBRAKIS PR -RT DOLD GA -39671021.31 225710342.6
LAMBRAKIS PRESS LMBKF US -39671021.31 225710342.6
LAMBRAKIS PRESS DOL EU -39671021.31 225710342.6
LAMBRAKIS PRESS LA3A GR -39671021.31 225710342.6
LAMBRAKIS PRESS DOL GA -39671021.31 225710342.6
LAMBRAKIS PRESS LA3 GR -39671021.31 225710342.6
LAMBRAKIS PRESS DOL PZ -39671021.31 225710342.6
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LAMBRAKIS REPO DOLL10 GA -39671021.31 225710342.6
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LAMBRAKIS-AUC DOLE GA -39671021.31 225710342.6
LAVIPHARM SA LAVI GA -5006040.333 167080549.6
LAVIPHARM SA LAVI EU -5006040.333 167080549.6
LAVIPHARM SA LAVI EO -5006040.333 167080549.6
LAVIPHARM SA LAVI PZ -5006040.333 167080549.6
LAVIPHARM SA LVP GR -5006040.333 167080549.6
LAVIPHARM SA BXA GR -5006040.333 167080549.6
LAVIPHARM SA LVIXF US -5006040.333 167080549.6
LAVIPHARM SA-RTS LAVID GA -5006040.333 167080549.6
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MAILLIS MLISF US -2041887.566 401387790.4
MAILLIS -RTS MAIKR GA -2041887.566 401387790.4
MAILLIS-SPON ADR MJMSY US -2041887.566 401387790.4
MARITIME CO LESB MEKD CH -7779986.972 235355419.9
MARITIME CO LESB NELD GA -7779986.972 235355419.9
MARITIME CO LESV NEL PZ -7779986.972 235355419.9
MARITIME CO LESV MTMLF US -7779986.972 235355419.9
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MARITIME CO -RTS 2749585Q GA -7779986.972 235355419.9
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MJ MAILLIS S.A. MJL GR -2041887.566 401387790.4
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MJ MAILLIS S.A. MAIK EO -2041887.566 401387790.4
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NUTRIART-RTS 3411089Q GA -84623057.15 115632796.2
PETZET - PFD-RTS PETZPD GA -110812812.5 206429374.1
PETZETAKIS - RTS PETZKD GA -110812812.5 206429374.1
PETZETAKIS-AUC PETZKE GA -110812812.5 206429374.1
PETZETAKIS-PFD PTZ3 GR -110812812.5 206429374.1
PETZETAKIS-PFD PETZP GA -110812812.5 206429374.1
RADIO KORASSIDIS KORA GA -100972173.9 244951680.3
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RADIO KORASSIDIS RKC GR -100972173.9 244951680.3
RADIO KORASSI-RT KORAD GA -100972173.9 244951680.3
RADIO KORASS-RTS KORAR GA -100972173.9 244951680.3
T BANK ASPT EU -46224213.41 3486115450
T BANK ASPT GA -46224213.41 3486115450
T BANK ASPT EO -46224213.41 3486115450
T BANK TBANK EU -46224213.41 3486115450
T BANK TBANK EO -46224213.41 3486115450
T BANK ASPT PZ -46224213.41 3486115450
T BANK TBANK GA -46224213.41 3486115450
THEMELIODOMI THEME GA -55751173.78 232036822.6
THEMELIODOMI-AUC THEMEE GA -55751173.78 232036822.6
THEMELIODOMI-RTS THEMER GA -55751173.78 232036822.6
THEMELIODOMI-RTS THEMED GA -55751173.78 232036822.6
UNITED TEXTILES NML1 GR -163114842.1 286539436.9
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UNITED TEXTILES NAOYK GA -163114842.1 286539436.9
UNITED TEXTILES UTEX EU -163114842.1 286539436.9
UNITED TEXTILES UTEX GA -163114842.1 286539436.9
VETERIN - RIGHTS VETR GA -670700605.1 924332371.1
HUNGARY
-------
HUNGARIAN TELEPH HUGC IX -73723992 827192000
HUNGARIAN TELEPH HUC EX -73723992 827192000
INVITEL HOLD-ADR INVHY US -73723992 827192000
INVITEL HOLD-ADR 0IN GR -73723992 827192000
INVITEL HOLD-ADR IHO US -73723992 827192000
INVITEL HOLDINGS 3212873Z HB -73723992 827192000
IRELAND
-------
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ARDAGH GLASS FIN 3489820Z ID -425719878.1 5124811840
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AVAYA HOLDINGS L 4491803Z ID -332334120.8 255019134.5
BALLYMORE PROPER 162707Z ID -243143095.2 972399152.8
BIRCHFORD INVEST 3802508Z ID -17025540.7 218278444.2
BPM IRELAND PLC 4471855Z ID -4595598.259 844444461.6
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CAPEL DEVELOPMEN 3813016Z ID -54774206.54 118764190.8
COMMUNICORP GROU 1027859Z ID -28828642.17 309423497.3
CONOCOPHILLIPS I 4526671Z ID -215725943.4 369716179.9
CONOCOPHILLIPS W 3894318Z ID -176383297.5 403120095.3
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ELAN PHARMA INTE 4515071Z ID -275500000 1657900032
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FRUIT OF THE LOO 4459361Z ID -85434026.52 344655328.1
GS MULTI-CURRENC 4780921Z ID -218031502.7 1766463253
INDEP NEWS & MED INM LN -257955932.2 715040181
INDEP NEWS & MED INWS IX -257955932.2 715040181
INDEP NEWS & MED INM1 EU -257955932.2 715040181
INDEP NEWS & MED INWS ID -257955932.2 715040181
INDEP NEWS & MED INM1GBX EO -257955932.2 715040181
INDEP NEWS & MED INNS VX -257955932.2 715040181
INDEP NEWS & MED IPDC GK -257955932.2 715040181
INDEP NEWS & MED INM1GBX EU -257955932.2 715040181
INDEP NEWS & MED INM VX -257955932.2 715040181
INDEP NEWS & MED IPD PZ -257955932.2 715040181
INDEP NEWS & MED INNZF US -257955932.2 715040181
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ICELAND
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AVION GROUP B1Q GR -223780368 2277882368
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ITALY
-----
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TISCALI SPA TISN NA -167327246 362728538.3
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TISCALI SPA TIS NQ -167327246 362728538.3
TISCALI SPA TIS NR -167327246 362728538.3
TISCALI SPA TIS PZ -167327246 362728538.3
TISCALI SPA TIS BQ -167327246 362728538.3
TISCALI SPA TIQ GR -167327246 362728538.3
TISCALI SPA- RTS 3391621Q GR -167327246 362728538.3
TISCALI SPA- RTS TISAXA IM -167327246 362728538.3
VIA CAVOUR SRL 3997892Z IM -2002622.441 173628397.1
JERSEY
------
REAL ESTATE OP-O REO PZ -1109604236 1668437669
REAL ESTATE OP-O REO EU -1109604236 1668437669
REAL ESTATE OP-O REO ID -1109604236 1668437669
REAL ESTATE OP-O REO IX -1109604236 1668437669
REAL ESTATE OP-O REO EO -1109604236 1668437669
REAL ESTATE OP-O REA GR -1109604236 1668437669
REAL ESTATE OP-O REOGBP EO -1109604236 1668437669
REAL ESTATE OP-O REO VX -1109604236 1668437669
REAL ESTATE OP-O REO LN -1109604236 1668437669
LUXEMBOURG
----------
CARRIER1 INT-AD+ CONE ES -94729000 472360992
CARRIER1 INT-ADR CONEE US -94729000 472360992
CARRIER1 INT-ADR CONEQ US -94729000 472360992
CARRIER1 INTL CJN NM -94729000 472360992
CARRIER1 INTL CJNA GR -94729000 472360992
CARRIER1 INTL 8133893Q GR -94729000 472360992
CARRIER1 INTL SA 1253Z SW -94729000 472360992
CARRIER1 INTL SA CONEF US -94729000 472360992
INTELSAT GLOBAL 0440101D US -1168589952 17400967168
INTELSAT GLOBAL I US -1168589952 17400967168
INTELSAT INVESTM ILMA GR -1199357056 17465319424
INTELSAT SA 2237Z US -1199357056 17465319424
NETHERLANDS
-----------
ALFRED C TOEPFER 4062117Z NA -1843317.436 1689194175
ASITO DIENSTENGR 743813Z NA -2494804.851 220704023.7
AVAST SOFTWARE B 0112793D US -15842000 132342000
AVAST SOFTWARE N AVST US -15842000 132342000
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BAAN COMPANY NV BAAN NA -7854715.264 609871188.9
BAAN COMPANY NV BAAN IX -7854715.264 609871188.9
BAAN COMPANY NV BAAN EO -7854715.264 609871188.9
BAAN COMPANY NV BAAN PZ -7854715.264 609871188.9
BAAN COMPANY NV BAAN GR -7854715.264 609871188.9
BAAN COMPANY NV BNCG IX -7854715.264 609871188.9
BAAN COMPANY NV BAAVF US -7854715.264 609871188.9
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BAAN COMPANY-NY BAANF US -7854715.264 609871188.9
BELEGGINGSMAATSC 801105Z NA -5070657.703 350267370.9
CENTRIC HOLDING 745383Z NA -72753.24225 363069870.7
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EATON ELECTRIC B 2017671Z NA -1841730.108 130591221.9
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FERDINAND STINGE 4040837Z NA -197826.2129 1420319834
HE INVESTMENTS B 3813216Z NA -1780665.857 195483088
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ING REIM DEVELOP 3811140Z NA -231041485.9 383323356.5
KONINKLIJKE HASK 4037221Z NA -69259.20141 230145390.9
KUIPER GROEP BV 3821988Z NA -3688.420875 101931401.5
LIBERTY GL EU-A UPC NA -5505478850 5112616630
LINO MANAGEMENT 3774416Z NA -330305248.1 752471513.7
MAAS INTERNATION 4174109Z NA -104625.6021 163961580.9
MAGYAR TELECOM B 363945Z HB -9411153.408 462039674.5
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MSREF ELBA BV 4043045Z NA -89889.60183 584994172.5
MSREF VI KAIROS 4174205Z NA -38313.60078 893956511
NIDERA HANDELSCO 3893886Z NA -1347999.991 2303695933
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UNITED PAN-EUROP UPC VX -5505478850 5112616630
UNITED PAN-EUROP UPCOF US -5505478850 5112616630
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UPC HOLDING BV 3590264Z NA -12602392978 14238054163
VAN WEELDE BEHEE 4038885Z NA -165002.3062 161800258.3
VOLKERWESSELS BO 4062101Z NA -17683.20036 191596002.3
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ZINVEST FASHION 3775412Z NA -296559.4047 180677208
ZWINGER OPCO 6 B 3821644Z NA -106543158.2 627759193.8
NORWAY
------
AFRICA OFFSHORE AOSA NO -280249984 357512992
AKER BIOMARINE A 4508947Z NO -97401201.46 100855655.1
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AKER ELEKTRO AS 4389353Z NO -35218317.7 134077911.8
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AKER FLOATING PR AKFP EO -16100000 765200000
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AKER FLOATING PR AKFP EU -16100000 765200000
AKER FLOATING PR AKFP NO -16100000 765200000
AKER FLOATING PR AKNO IX -16100000 765200000
AKER FLOATING PR AKFPEUR EU -16100000 765200000
AKER FLOATING PR AKFPEUR EO -16100000 765200000
AKER STORD A/S 4498875Z NO -244831512.6 379117306.4
BAKERS AS 4527631Z NO -2100773.812 130412660.1
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GJENSIDIGE PENSJ 4447089Z NO -211457.8665 1156109660
HEEGH AUTOLINERS 4389209Z NO -13894016.15 253537334.9
HELI-ONE NORWAY 4632761Z NO -27084593.22 759455442.9
ICA NORGE AS 4511499Z NO -132832574.9 702347848.8
INFRATEK ENTREPR 4402489Z NO -33504101.18 160698348.1
INTEROIL EXPLORA IOX NO -21010000 139828992
INTEROIL EXPLORA IOX EO -21010000 139828992
INTEROIL EXPLORA IOX PZ -21010000 139828992
INTEROIL EXPLORA IOX BY -21010000 139828992
INTEROIL EXPLORA INOX NO -21010000 139828992
INTEROIL EXPLORA IOXEUR EU -21010000 139828992
INTEROIL EXPLORA IOX IX -21010000 139828992
INTEROIL EXPLORA IOXUSD EU -21010000 139828992
INTEROIL EXPLORA IROIF US -21010000 139828992
INTEROIL EXPLORA IOX EU -21010000 139828992
INTEROIL EXPLORA IOXEUR EO -21010000 139828992
INTEROIL EXPLORA IOXUSD EO -21010000 139828992
INTEROIL EXPLORA IOX SS -21010000 139828992
MAN LAST OG BUSS 4521719Z NO -5830520.283 123349772.5
MARINE SUBSEA AS MSAS NO -280249984 357512992
NCC CONSTRUCTION 4389745Z NO -11284745.3 292548511.4
NCC ROADS AS 4401305Z NO -11149611.36 135425117.2
NORSK STEIN AS 4394889Z NO -697875.9235 232219055.8
PETRO GEO-SERV PGS GR -18066142.21 399710323.6
PETRO GEO-SERV PGS VX -18066142.21 399710323.6
PETRO GEO-SERV 265143Q NO -18066142.21 399710323.6
PETRO GEO-SERV-N PGSN NO -18066142.21 399710323.6
PETRO GEO-SV-ADR PGSA GR -18066142.21 399710323.6
PETRO GEO-SV-ADR PGOGY US -18066142.21 399710323.6
PETROJACK AS JACKEUR EO -54932000 191586000
PETROJACK AS JACKEUR EU -54932000 191586000
PETROJACK AS P3J GR -54932000 191586000
PETROJACK AS JACK EU -54932000 191586000
PETROJACK AS JACO IX -54932000 191586000
PETROJACK AS JACK NO -54932000 191586000
PETROJACK AS JACK PZ -54932000 191586000
PETROJACK AS POJKF US -54932000 191586000
PETROJACK AS JACK EO -54932000 191586000
PETROJACK AS JACK BY -54932000 191586000
PETROMENA AS PMENA PZ -47299000 317747008
PETROMENA AS PMENAEUR EU -47299000 317747008
PETROMENA AS PMENA NO -47299000 317747008
PETROMENA AS PMENAEUR EO -47299000 317747008
PETROMENA AS PMEN IX -47299000 317747008
PETROMENA AS PMENA EO -47299000 317747008
PETROMENA AS MENA NO -47299000 317747008
PETROMENA AS PR2 GR -47299000 317747008
PETROMENA AS PMENA EU -47299000 317747008
PETROMENA AS PMENF US -47299000 317747008
PRATT & WHITNEY 4524487Z NO -5820126.04 104689675.3
REC SCANCELL AS 4446473Z NO -8437038.946 138751607.3
STOREBRAND EIEND 4443409Z NO -40898583.73 1242265455
STOREBRAND EIEND 4288341Z NO -174025923.7 4173823457
TDC AS 4287413Z NO -83055192.99 129421953.7
THOMSON REUTERS 4777193Z NO -2001541.28 208880572.6
TJUVHOLMEN UTVIK 4446353Z NO -682369.4664 117274938.8
TRICO SHIPPING A 3651167Z NO -132576808.1 504945402.2
TTS SENSE AS 4393841Z NO -4559687.797 162046219.9
UTKILEN SHIPPING 4446161Z NO -74871.02647 185813483
VNG NORGE AS 4513147Z NO -54874780.65 162557987.4
POLAND
------
ANIMEX SA ANX PW -556805.8579 108090511.9
DSS DSS PW -75172532.87 162767180.1
DSS DSS EU -75172532.87 162767180.1
DSS DSS EO -75172532.87 162767180.1
DSS-PDA DSSA PW -75172532.87 162767180.1
HBPOLSKA HBWL PZ -101164415.5 294857246.9
HBPOLSKA HBPEUR EU -101164415.5 294857246.9
HBPOLSKA HBP EU -101164415.5 294857246.9
HBPOLSKA HBPEUR EO -101164415.5 294857246.9
HBPOLSKA HBW PW -101164415.5 294857246.9
HBPOLSKA HBP LI -101164415.5 294857246.9
HBPOLSKA HBP PW -101164415.5 294857246.9
HBPOLSKA HBP EO -101164415.5 294857246.9
HBPOLSKA-PD-ALLT HBPA PW -101164415.5 294857246.9
KROSNO KRS LI -2241614.766 111838141.2
KROSNO KRS PW -2241614.766 111838141.2
KROSNO KRS1EUR EU -2241614.766 111838141.2
KROSNO KROS IX -2241614.766 111838141.2
KROSNO KRS1EUR EO -2241614.766 111838141.2
KROSNO SA KROSNO PW -2241614.766 111838141.2
KROSNO SA KRS1 EO -2241614.766 111838141.2
KROSNO SA KRS1 EU -2241614.766 111838141.2
KROSNO SA KRS PZ -2241614.766 111838141.2
KROSNO SA KRNFF US -2241614.766 111838141.2
KROSNO SA-RTS KRSP PW -2241614.766 111838141.2
KROSNO-PDA-ALLT KRSA PW -2241614.766 111838141.2
TOORA TOR PZ -288818.3897 147004954.2
TOORA 2916661Q EO -288818.3897 147004954.2
TOORA 2916665Q EU -288818.3897 147004954.2
TOORA TOR PW -288818.3897 147004954.2
TOORA-ALLOT CERT TORA PW -288818.3897 147004954.2
PORTUGAL
--------
ALBERTO MARTINS 4488947Z PL -25419983.42 123491252.1
ALUGUER DE VEICU 4773793Z PL -15934394.29 177189066.9
BRISAL AUTO-ESTR 3645215Z PL -47450724.24 654534402.7
CENTRO HOSPITALA 3778196Z PL -63194407.2 123417394.8
CO DAS ENERGIAS 3794880Z PL -2540034.474 115717930.4
CP - COMBOIOS DE 1005Z PL -3578303482 1640305326
ESTALEIROS NAVAI 4507307Z PL -160990302.6 168996814.5
FORD LUSITANA SA 3648983Z PL -7991062.856 135557902.7
HOSPITAL DE FARO 3789880Z PL -18565498.19 440770232
HOSPITAL DO DIVI 3789932Z PL -75359384.99 205468575.8
HOSPITAL GARCIA 3773160Z PL -48058398.4 155137981.5
HP HEALTH CLUBS 3777952Z PL -4243987.43 133613465.6
LOCACAO DE EQUIP 4772329Z PL -1031872.211 425561447.8
METRO DO PORTO 4473963Z PL -1539365046 3027538897
PORTUGALIA 1008Z PL -6844075.929 199376769
RADIO E TELEVISA 1227Z PL -740710264.5 506160206.4
REFER EP 1250Z PL -1883502408 1735947433
REN TRADING SA 4167785Z PL -2316007.028 231656542.3
SERVICO DE SAUDE 3790200Z PL -142612999.3 625059071.4
SOCIEDADE DE TRA 1253Z PL -368574770.4 153373893.3
SPORTING CLUBE D SCPX PX Equit -43017532.72 246527336.3
SPORTING CLUBE D SCDF EU -43017532.72 246527336.3
SPORTING CLUBE D SCG GR -43017532.72 246527336.3
SPORTING CLUBE D SCDF EO -43017532.72 246527336.3
SPORTING CLUBE D SCP1 PZ -43017532.72 246527336.3
SPORTING CLUBE D SCP PL -43017532.72 246527336.3
SPORTING-SOC DES SCDF PL -43017532.72 246527336.3
SPORTING-SOC DES SCPL IX -43017532.72 246527336.3
SPORTING-SOC-RTS SCPVS PL -43017532.72 246527336.3
SPORTING-SOC-RTS SCPDS PL -43017532.72 246527336.3
TAP SGPS TAP PL -353957017.4 2789331398
TRANSGAS SA 3794668Z PL -2181404.695 158648841.9
VALE DO LOBO - R 4764257Z PL -43960329.17 466811617.2
ROMANIA
-------
ARCELORMITTAL PTRO RO -61080024.91 178667412.9
OLTCHIM RM VALCE OLTCF US -36885412.47 586251335.6
OLTCHIM SA RM VA OLT EO -36885412.47 586251335.6
OLTCHIM SA RM VA OLTEUR EU -36885412.47 586251335.6
OLTCHIM SA RM VA OLTEUR EO -36885412.47 586251335.6
OLTCHIM SA RM VA OLT EU -36885412.47 586251335.6
OLTCHIM SA RM VA OLT PZ -36885412.47 586251335.6
OLTCHIM SA RM VA OLT RO -36885412.47 586251335.6
RUSSIA
------
AKCIONERNOE-BRD SOVP$ RU -3777004.385 408412400.2
ALLIANCE RUSSIAN ALRT RU -15214295.76 144582050.8
AMO ZIL-CLS ZILLG RU -305861298.1 461943061.3
AMO ZIL-CLS ZILL* RU -305861298.1 461943061.3
AMO ZIL-CLS ZILL RU -305861298.1 461943061.3
AMO ZIL-CLS ZILL RM -305861298.1 461943061.3
AMTEL-POVOLZ-BRD KIRT* RU -936614.5492 142093264.3
AMTEL-POVOLZ-BRD KIRT RU -936614.5492 142093264.3
BALTIYSKY-$BRD BALZ RU -20907794.77 382497299.9
BALTIYSKY-$BRD BALZ* RU -20907794.77 382497299.9
BALTIYSKY-BRD BALZ$ RU -20907794.77 382497299.9
BUMMASH OJSC-BRD BUMM RU -44749637.35 160609608.1
BUMMASH OJSC-BRD BUMM* RU -44749637.35 160609608.1
CHELPIPE JSC CHEP RU -307706501.4 3817658407
CHELPIPE JSC CHEP RM -307706501.4 3817658407
CHELPIPE JSC CHEP* RU -307706501.4 3817658407
CHELPIPE JSC CHEPG RU -307706501.4 3817658407
CHELYAB-GDR 144A 8163533Z LI -307706501.4 3817658407
CHELYAB--GDR REG 8135827Z LI -307706501.4 3817658407
CHELYAB--GDR W/I 1CFA GR -307706501.4 3817658407
CHELYAB--GDR W/I CHEP LI -307706501.4 3817658407
CHELYABINSK PIPE CHEP$ RU -307706501.4 3817658407
CRYOGENMASH-BRD KRGM* RU -124544745.1 207128408.6
CRYOGENMASH-BRD KRGM RU -124544745.1 207128408.6
CRYOGENMASH-PFD KRGMP RU -124544745.1 207128408.6
CRYOGENMASH-PFD KRGMP* RU -124544745.1 207128408.6
DAGESTAN ENERGY DASBG RU -29561959.6 232757864.4
DAGESTAN ENERGY DASB* RU -29561959.6 232757864.4
DAGESTAN ENERGY DASB RM -29561959.6 232757864.4
DAGESTAN ENERGY DASB RU -29561959.6 232757864.4
EAST-SIBERIA-BRD VSNK* RU -92283895.48 299864149.8
EAST-SIBERIA-BRD VSNK RU -92283895.48 299864149.8
EAST-SIBERIAN-BD VSNK$ RU -92283895.48 299864149.8
FINANCIAL LEASIN FLKO* RU -190902972.2 249901772.8
FINANCIAL LEASIN FLKO RU -190902972.2 249901772.8
FINANCIAL LEASIN FLKO RM -190902972.2 249901772.8
FINANCIAL LEASIN 137282Z RU -190902972.2 249901772.8
GAZ GZAPF US -292369069.3 1799241026
GAZ GAZA$ RU -292369069.3 1799241026
GAZ-CLS GAZA RM -292369069.3 1799241026
GAZ-CLS GAZA* RU -292369069.3 1799241026
GAZ-CLS GAZA RU -292369069.3 1799241026
GAZ-CLS GAZAG RU -292369069.3 1799241026
GAZ-PFD GAZAP* RU -292369069.3 1799241026
GAZ-PFD GAZAPG RU -292369069.3 1799241026
GAZ-PFD GAZAP RM -292369069.3 1799241026
GAZ-PFD GAZAPG$ RU -292369069.3 1799241026
GAZ-PFD GAZAP RU -292369069.3 1799241026
GAZ-PREF GAZAP$ RU -292369069.3 1799241026
GAZ-US$ GTS GAZAG$ RU -292369069.3 1799241026
GRAZHDANSKIE SAM GSSU RU -152610999.2 1609476948
GUKOVUGOL GUUG RU -57835249.92 143665227.2
GUKOVUGOL GUUG* RU -57835249.92 143665227.2
GUKOVUGOL-PFD GUUGP* RU -57835249.92 143665227.2
GUKOVUGOL-PFD GUUGP RU -57835249.92 143665227.2
GURIEVSKY-BRD GUMZ RU -7147215.563 190801547.3
GURIEVSKY-BRD GUMZ* RU -7147215.563 190801547.3
HALS-DEVEL- GDR 86PN LI -588515964.6 1446111954
HALS-DEVEL- GDR 86PN LN -588515964.6 1446111954
HALS-DEVELOPMENT HALS RM -588515964.6 1446111954
HALS-DEVELOPMENT HALSM RU -588515964.6 1446111954
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HALS-DEVELOPMENT HALSG RU -588515964.6 1446111954
HALS-DEVELOPMENT HALS TQ -588515964.6 1446111954
HALS-DEVELOPMENT SYR GR -588515964.6 1446111954
HALS-DEVELOPMENT HALS* RU -588515964.6 1446111954
HALS-DEVELOPMENT HALS RU -588515964.6 1446111954
IZHAVTO OAO IZAV RU -94100833.99 443610329.4
KIROV TIRE PLANT KIRT$ RU -936614.5492 142093264.3
M-INDUSTRIYA SOMI RU -1304109.982 267288804.8
MOSPROMSTROY-BRD MPSM* RU -15526364.63 270701638
MOSPROMSTROY-BRD MPSM RU -15526364.63 270701638
MOSPROMSTROY-PFD MPSMP* RU -15526364.63 270701638
MOSPROMSTROY-PFD MPSMP RU -15526364.63 270701638
NIZHEGORODSK-BRD NASO* RU -925605.4667 537182246.1
NIZHEGORODSK-BRD NASO RU -925605.4667 537182246.1
NIZHEGORODSKI-B NASO$ RU -925605.4667 537182246.1
NIZHEGORODS-P B$ NASOP$ RU -925605.4667 537182246.1
NIZHEGORODS-PFD NASOP RU -925605.4667 537182246.1
NIZHEGORODS-PFD NASOP* RU -925605.4667 537182246.1
NIZHMASHZAVO-BRD NMSZ* RU -36667081.23 323938091.2
NIZHMASHZAVO-BRD NMSZ RU -36667081.23 323938091.2
NIZHMASHZAVOD-BD NMSZ$ RU -36667081.23 323938091.2
NIZHMASHZAVO-PFD NMSZP RU -36667081.23 323938091.2
NIZHMASHZAVO-PFD NMSZP* RU -36667081.23 323938091.2
NOVOSIBIRSK-BRD NVMZ RU -3734071.034 152583538.5
NOVOSIBIRSK-BRD NVMZ* RU -3734071.034 152583538.5
NOVOSIBIRSK-BRD NVMZ$ RU -3734071.034 152583538.5
OAO AMURMETALL AMMT RU -808724.9033 847661954.7
PENOPLEX-FINANS PNPF RU -839659.3715 147052027.7
PIK GROUP PIKK* RU -22928288.83 4135566932
PIK GROUP PIKKG RU -22928288.83 4135566932
PIK GROUP PIKK RM -22928288.83 4135566932
PIK GROUP PIKK RU -22928288.83 4135566932
PIK GROUP-GDR PIK EB -22928288.83 4135566932
PIK GROUP-GDR PIK EU -22928288.83 4135566932
PIK GROUP-GDR PIK TQ -22928288.83 4135566932
PIK GROUP-GDR PIK IX -22928288.83 4135566932
PIK GROUP-GDR PIK1 EO -22928288.83 4135566932
PIK GROUP-GDR PIK LI -22928288.83 4135566932
PIK GROUP-GDR PKGPL US -22928288.83 4135566932
PIK GROUP-GDR PIQ2 GR -22928288.83 4135566932
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SLOVENIA
--------
ALPOS DD APOG SV -67352301.16 175199045.1
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SPAIN
-----
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SWEDEN
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SWITZERLAND
-----------
ETRION CORP 4QP GR -1431000 449615008
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TURKEY
------
EGS EGE GIYIM VE EGDIS TI -7732135.103 147075077.7
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UKRAINE
-------
CHERNIGIVS MAN-M CHIM UZ -19979000 106551872
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UNITED KINGDOM
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PROSTRAKAN GROUP PSKEUR EO -9666264.987 134080449.8
PROSTRAKAN GROUP PSKGBP EO -9666264.987 134080449.8
PROSTRAKAN GROUP PSK EU -9666264.987 134080449.8
PROSTRAKAN GROUP PSK PZ -9666264.987 134080449.8
PROSTRAKAN GROUP PSK S1 -9666264.987 134080449.8
PROSTRAKAN GROUP PSKEUR EU -9666264.987 134080449.8
PROSTRAKAN GROUP PKNGF US -9666264.987 134080449.8
PROSTRAKAN GROUP PSK EO -9666264.987 134080449.8
QHOTELS GROUP LT 759287Z LN -184737716 699448824.7
QUINN BUILDING P 3949900Z LN -103500752.8 1203590333
QUINN RADIATORS 1405898Z LN -237606147.8 154925282.5
R&R ICE CREAM LT 3624280Z LN -111988803.7 916794825.4
RANDSTAD EMPLOYM 1585810Z LN -26968879.31 105042678
RAYTHEON SYSTEMS 1068610Z LN -32601425.32 346298511
RBS MEZZANINE LT 2198564Z LN -96650177.27 156895953.3
REGARD HOLDINGS 4157517Z LN -2678709.275 159772566.2
REGUS LTD 273187Q LN -46111832.15 367181111
REGUS PLC 2296Z LN -46111832.15 367181111
REGUS PLC REGSF US -46111832.15 367181111
REGUS PLC 273195Q VX -46111832.15 367181111
REGUS PLC RGU GR -46111832.15 367181111
REGUS PLC-ADS REGSY US -46111832.15 367181111
REGUS PLC-ADS REGSV US -46111832.15 367181111
REGUS PLC-ADS REGS US -46111832.15 367181111
REGUS PLC-ADS RGUA GR -46111832.15 367181111
RENTOKIL INITIAL RTO EB -265497954 2695753100
RENTOKIL INITIAL RTOEUR EO -265497954 2695753100
RENTOKIL INITIAL RTO IX -265497954 2695753100
RENTOKIL INITIAL RTO NR -265497954 2695753100
RENTOKIL INITIAL RTO S1 -265497954 2695753100
RENTOKIL INITIAL RTO1 GR -265497954 2695753100
RENTOKIL INITIAL RTO QM -265497954 2695753100
RENTOKIL INITIAL RKLIF US -265497954 2695753100
RENTOKIL INITIAL RTO BQ -265497954 2695753100
RENTOKIL INITIAL RTOUSD EO -265497954 2695753100
RENTOKIL INITIAL RTO LN -265497954 2695753100
RENTOKIL INITIAL RTO EU -265497954 2695753100
RENTOKIL INITIAL RTO TQ -265497954 2695753100
RENTOKIL INITIAL RTOGBP EO -265497954 2695753100
RENTOKIL INITIAL RTOPEN EU -265497954 2695753100
RENTOKIL INITIAL RTO PO -265497954 2695753100
RENTOKIL INITIAL RTO1 GK -265497954 2695753100
RENTOKIL INITIAL RTO NQ -265497954 2695753100
RENTOKIL INITIAL RTOPEN EO -265497954 2695753100
RENTOKIL INITIAL RTO GR -265497954 2695753100
RENTOKIL INITIAL RTO PZ -265497954 2695753100
RENTOKIL INITIAL RTO VX -265497954 2695753100
RENTOKIL INITIAL RTOUSD EU -265497954 2695753100
RENTOKIL INITIAL RTO1 EO -265497954 2695753100
RENTOKIL INITIAL RTO EO -265497954 2695753100
RENTOKIL INITIAL RTOG IX -265497954 2695753100
RENTOKIL INITIAL RTOKF US -265497954 2695753100
RENTOKIL INITIAL RTOEUR EU -265497954 2695753100
RENTOKIL-SP ADR RTOKY US -265497954 2695753100
RENTOKIL-SP ADR AP76 LI -265497954 2695753100
REXAM BEVERAGE C 1120903Z LN -15123027.48 118921563.6
ROAD MGMT CONS 1239Z LN -24813.99918 315561166
ROSEMONT HOLDING 4391905Z LN -34807182.85 158222622.5
ROSYTH ROYAL DOC 2184524Z LN -38831265.46 176808921.7
ROYAL BANK LEASI 2177244Z LN -96708288.01 12689075410
ROYAL MAIL HOLDI 3900202Z LN -4979588987 9290852179
SAFFRON HOUSING 4448377Z LN -3777866.1 124457507.9
SCOTTISH MEDIA SSMR LN -44693985.16 126240905.5
SCOTTISH MEDIA SSM LN -44693985.16 126240905.5
SCOTTISH MEDIA 1442Q GR -44693985.16 126240905.5
SCOTTISH TELEV SCTVF US -44693985.16 126240905.5
SCOTTISHPOWER EN 2211292Z LN -85593217.38 2705930566
SCOTTS CO UK LTD 1154459Z LN -42301127.16 119882290.9
SETON HEALTHCARE 2290Z LN -10585183.94 156822902.8
SEVERN VALE HOUS 4287717Z LN -43910018.24 115584900.8
SFI GROUP PLC SUF LN -108067115.8 177647536.1
SFI GROUP PLC SUYFF US -108067115.8 177647536.1
SHEFFIELD UNITED 1275418Z LN -17712590.52 101590746.2
SIMON CARVES LTD 1209367Z LN -309426997.2 105356699.7
SKANDIA LIFE BUS 1451642Z LN -16563612.78 132120692.5
SLP ENGINEERING 1855186Z LN -32035150.2 111509874.7
SMG PLC SMG LN -44693985.16 126240905.5
SMG PLC SMG PO -44693985.16 126240905.5
SMG PLC-FUL PAID SMGF LN -44693985.16 126240905.5
SMG PLC-NIL PAID SMGN LN -44693985.16 126240905.5
SMITHS NEWS PLC NWS6 EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS S1 -82175781.01 424997909.9
SMITHS NEWS PLC NWS2GBP EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS9 EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS PO -82175781.01 424997909.9
SMITHS NEWS PLC NWS2 TQ -82175781.01 424997909.9
SMITHS NEWS PLC NWS PZ -82175781.01 424997909.9
SMITHS NEWS PLC NWS10 EO -82175781.01 424997909.9
SMITHS NEWS PLC SMWPF US -82175781.01 424997909.9
SMITHS NEWS PLC NWS IX -82175781.01 424997909.9
SMITHS NEWS PLC NWS11 EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS12 EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS2 EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS2EUR EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS LN -82175781.01 424997909.9
SMITHS NEWS PLC NWS2EUR EU -82175781.01 424997909.9
SMITHS NEWS PLC NWS8 EO -82175781.01 424997909.9
SMITHS NEWS PLC SMWPY US -82175781.01 424997909.9
SMITHS NEWS PLC NWS1 BQ -82175781.01 424997909.9
SMITHS NEWS PLC NWS1GBP EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS7 EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS1 EU -82175781.01 424997909.9
SMITHS NEWS PLC NWS1 EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS5 EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS4 EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS13 EO -82175781.01 424997909.9
SMITHS NEWS PLC NWS VX -82175781.01 424997909.9
SONY COMPUTER EN 3893902Z LN -533552800 1312733888
SONY UNITED KING 1591658Z LN -1219147829 2550391748
SOUTH STAFFORDSH 4049781Z LN -12127094.81 148602864.7
SOUTHERN CROSS SCHEEUR EO -456945463.9 226544692
SOUTHERN CROSS SCHE EO -456945463.9 226544692
SOUTHERN CROSS SCHEUSD EU -456945463.9 226544692
SOUTHERN CROSS SCHE8 EO -456945463.9 226544692
SOUTHERN CROSS SCHE EU -456945463.9 226544692
SOUTHERN CROSS SCHE NQ -456945463.9 226544692
SOUTHERN CROSS SCHE PZ -456945463.9 226544692
SOUTHERN CROSS SOCHF US -456945463.9 226544692
SOUTHERN CROSS SCHE QM -456945463.9 226544692
SOUTHERN CROSS SCHE2 EO -456945463.9 226544692
SOUTHERN CROSS SCH3 EO -456945463.9 226544692
SOUTHERN CROSS SCHE7 EO -456945463.9 226544692
SOUTHERN CROSS SCHE VX -456945463.9 226544692
SOUTHERN CROSS SCH4 EO -456945463.9 226544692
SOUTHERN CROSS SCHE TQ -456945463.9 226544692
SOUTHERN CROSS SCHE3 EO -456945463.9 226544692
SOUTHERN CROSS SCHE S1 -456945463.9 226544692
SOUTHERN CROSS SCHE LN -456945463.9 226544692
SOUTHERN CROSS SCHE NR -456945463.9 226544692
SOUTHERN CROSS SCHE5 EO -456945463.9 226544692
SOUTHERN CROSS SCHE6 EO -456945463.9 226544692
SOUTHERN CROSS F2Z TH -456945463.9 226544692
SOUTHERN CROSS SCHE BQ -456945463.9 226544692
SOUTHERN CROSS SCHE4 EO -456945463.9 226544692
SOUTHERN CROSS SCHEEUR EU -456945463.9 226544692
SOUTHERN CROSS SCHE EB -456945463.9 226544692
SOUTHERN CROSS SCH5 EO -456945463.9 226544692
SOUTHERN CROSS F2Z GR -456945463.9 226544692
SOUTHERN CROSS SCHE PO -456945463.9 226544692
SOUTHERN CROSS SCHE IX -456945463.9 226544692
SOUTHERN CROSS SCHEUSD EO -456945463.9 226544692
SOUTHERN CROSS SCHEGBP EO -456945463.9 226544692
SOUTHERN ELECTRI 2635379Z LN -102487682 1339407981
SPEAR GROUP HOLD 4470999Z LN -91133585.59 140447896.6
SPEEDY SUPPORT S 1601730Z LN -34304692.53 146096457.3
SQUARE ENIX LTD 1826770Z LN -223995033.8 278955082.2
SR TECHNICS UK L 2900250Z LN -143296142.1 116171355.3
STAGECOACH GROUP SGC1PEN EU -93023113.56 2711144845
STAGECOACH GROUP SGC IX -93023113.56 2711144845
STAGECOACH GROUP SAGKF US -93023113.56 2711144845
STAGECOACH GROUP SGC1USD EU -93023113.56 2711144845
STAGECOACH GROUP SGCG PZ -93023113.56 2711144845
STAGECOACH GROUP SGC1EUR EO -93023113.56 2711144845
STAGECOACH GROUP SGC1EUR EU -93023113.56 2711144845
STAGECOACH GROUP SGC2 VX -93023113.56 2711144845
STAGECOACH GROUP SGC1USD EO -93023113.56 2711144845
STAGECOACH GROUP SGC1AUD EU -93023113.56 2711144845
STAGECOACH GROUP SGC S1 -93023113.56 2711144845
STAGECOACH GROUP SGC1 EB -93023113.56 2711144845
STAGECOACH GROUP SGC1AUD EO -93023113.56 2711144845
STAGECOACH GROUP SGC1 TQ -93023113.56 2711144845
STAGECOACH GROUP SGC1GBP EO -93023113.56 2711144845
STAGECOACH GROUP SGC1 EU -93023113.56 2711144845
STAGECOACH GROUP SGC PO -93023113.56 2711144845
STAGECOACH GROUP SGC1 QM -93023113.56 2711144845
STAGECOACH GROUP SGC LN -93023113.56 2711144845
STAGECOACH GROUP SGC1 NQ -93023113.56 2711144845
STAGECOACH GROUP SGC1 NR -93023113.56 2711144845
STAGECOACH GROUP SGC1 BQ -93023113.56 2711144845
STAGECOACH GROUP SHP GR -93023113.56 2711144845
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STAGECOACH GROUP SHP4 GR -93023113.56 2711144845
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STAGECOACH GROUP SGC1 EO -93023113.56 2711144845
STAGECOACH GROUP SHP4 GK -93023113.56 2711144845
STAGECOACH GRP-B SGCB LN -93023113.56 2711144845
STAGECOACH-NEW SGCN LN -93023113.56 2711144845
STAGECOA-SPN ADR SAGKY US -93023113.56 2711144845
STJAMES'S PLACE 4451825Z LN -40027613.56 444219054.8
STV GROUP PLC SMG VX -44693985.16 126240905.5
STV GROUP PLC STVG EO -44693985.16 126240905.5
STV GROUP PLC STVGEUR EU -44693985.16 126240905.5
STV GROUP PLC STVG VX -44693985.16 126240905.5
STV GROUP PLC STVGGBP EO -44693985.16 126240905.5
STV GROUP PLC STVG S1 -44693985.16 126240905.5
STV GROUP PLC SMGPF US -44693985.16 126240905.5
STV GROUP PLC STVGEUR EO -44693985.16 126240905.5
STV GROUP PLC STVG EU -44693985.16 126240905.5
STV GROUP PLC STVG LN -44693985.16 126240905.5
STV GROUP PLC SMG PZ -44693985.16 126240905.5
STV GROUP PLC SMG IX -44693985.16 126240905.5
SUN CHEMICAL LTD 2569274Z LN -21504458.55 276424178.5
SUNDERLAND ASSOC 1274418Z LN -30559441.44 144949782.5
SUNSAIL LTD 1092666Z LN -37047891.81 193976501.7
SUNSEEKER INTERN 820741Z LN -7756394.619 227371284.6
SWIFT TECHNICAL 4287133Z LN -34723772.77 138665319.9
TATA CMMNCTNS UK 2534722Z LN -43763935.47 114567535.7
TDL INFOMEDIA 3362Z LN -25723860.05 136762955.6
TELEWEST COM-ADR TWSTY US -3702234581 7581020925
TELEWEST COM-ADR TWSTD US -3702234581 7581020925
TELEWEST COM-ADR 940767Q GR -3702234581 7581020925
TELEWEST COM-ADR TWT$ LN -3702234581 7581020925
TELEWEST COMM TWSTF US -3702234581 7581020925
TELEWEST COMM 715382Q LN -3702234581 7581020925
TELEWEST COMM 604296Q GR -3702234581 7581020925
TELEWEST COMM TWT VX -3702234581 7581020925
TELEWEST COMMUNI 1646328Z LN -287113015.3 868389208
TELEWEST COMMUNI 1608194Z LN -113079709.6 9113744374
THALES CORPORATE 1083706Z LN -65658884.46 829798983.7
THALES RAIL SIGN 2812334Z LN -29298137.36 106623580
THALES TELECOMMU 1163839Z LN -5826263.267 245379695.8
THORN EMI PLC THNE FP -2265916257 2950021937
THORN EMI-ADR THN$ LN -2265916257 2950021937
THORN EMI-ADR TORNY US -2265916257 2950021937
THORN EMI-CDR THN NA -2265916257 2950021937
THORN EMI-REGD 1772Q GR -2265916257 2950021937
TIMES NEWSPAPERS 2343939Z LN -719564696.3 649314828.6
TOPPS TILES PLC TPT8 EO -36503224.29 140534295.2
TOPPS TILES PLC TPTJY US -36503224.29 140534295.2
TOPPS TILES PLC TPT EU -36503224.29 140534295.2
TOPPS TILES PLC TPT BQ -36503224.29 140534295.2
TOPPS TILES PLC TPT10 EO -36503224.29 140534295.2
TOPPS TILES PLC TPT2 EO -36503224.29 140534295.2
TOPPS TILES PLC TPT1 EO -36503224.29 140534295.2
TOPPS TILES PLC TPTEUR EU -36503224.29 140534295.2
TOPPS TILES PLC TPTGBP EO -36503224.29 140534295.2
TOPPS TILES PLC TPT PO -36503224.29 140534295.2
TOPPS TILES PLC TPT VX -36503224.29 140534295.2
TOPPS TILES PLC TPT7 EO -36503224.29 140534295.2
TOPPS TILES PLC TPTEUR EO -36503224.29 140534295.2
TOPPS TILES PLC TPT5 EO -36503224.29 140534295.2
TOPPS TILES PLC TPT3 EO -36503224.29 140534295.2
TOPPS TILES PLC TPT IX -36503224.29 140534295.2
TOPPS TILES PLC TPT EO -36503224.29 140534295.2
TOPPS TILES PLC TPT6 EO -36503224.29 140534295.2
TOPPS TILES PLC TPT LN -36503224.29 140534295.2
TOPPS TILES PLC TPT PZ -36503224.29 140534295.2
TOPPS TILES PLC TPT9 EO -36503224.29 140534295.2
TOPPS TILES PLC TPT S1 -36503224.29 140534295.2
TOPPS TILES PLC TPT TQ -36503224.29 140534295.2
TOPPS TILES PLC TPT4 EO -36503224.29 140534295.2
TOPPS TILES PLC TPTJF US -36503224.29 140534295.2
TOPPS TILES-NEW TPTN LN -36503224.29 140534295.2
TOTAL UK LTD 3897130Z LN -61225906.13 2907445594
TRAVELEX HOLDING 2917958Z LN -1345481723 2560468919
TRAVELODGE LTD 3471462Z LN -515411329.9 1254613472
TRINITY MIRROR P 1511258Z LN -138612680.8 1045091625
TUBE LINES FINAN 1241207Z LN -2914999.962 2408518672
TUI UK LTD 1653824Z LN -913811298.8 5088088830
TYCO HEALTHCARE 1066794Z LN -13601743.4 333686519
UNILEVER UK CENT 1273034Z LN -1509554086 6927634057
UNIQ PREPARED FO 1077122Z LN -96788934.94 206496365.3
UNITED BISCUITS 3193858Z LN -273729428.4 3257147468
UNIVERSAL LEASIN 2581586Z LN -28690420.23 155128729.2
UNIVERSAL PICTUR 1083202Z LN -42445816.82 120867289.2
UTC GROUP UGR LN -11904428.42 203548565
VINK HOLDINGS LT 4380233Z LN -13477348.26 132005020.2
VIRGIN HOTELS GR 4288389Z LN -30191249.31 109995632.6
VIRGIN MOB-ASSD VMOC LN -392165409.3 166070003.7
VIRGIN MOB-ASSD VMOA LN -392165409.3 166070003.7
VIRGIN MOBILE VMOB LN -392165409.3 166070003.7
VIRGIN MOBILE VGMHF US -392165409.3 166070003.7
VIRGIN MOBILE VMOB PO -392165409.3 166070003.7
VIRGIN MOBILE VMOB VX -392165409.3 166070003.7
VIRGIN MOBILE UEM GR -392165409.3 166070003.7
VIRGIN WINGS LTD 4500155Z LN -410616776.7 5155268566
VOLUTION GROUP L 4453393Z LN -44375617.45 212542790.8
VOYAGE GROUP LTD 4168725Z LN -89543682.76 572205624
WARNER ESTATE WRL GR -80276070.4 344291592.8
WARNER ESTATE WNER PZ -80276070.4 344291592.8
WARNER ESTATE WNEHF US -80276070.4 344291592.8
WARNER ESTATE WNER VX -80276070.4 344291592.8
WARNER ESTATE WNER EO -80276070.4 344291592.8
WARNER ESTATE WNER LN -80276070.4 344291592.8
WARNER ESTATE WNERGBP EO -80276070.4 344291592.8
WARNER ESTATE WNER PO -80276070.4 344291592.8
WARNER ESTATE WNER IX -80276070.4 344291592.8
WARNER ESTATE WNER EU -80276070.4 344291592.8
WATSON & PHILIP WTSN LN -120493900 252232072.9
WEAVER VALE HOUS 3953220Z LN -60271595.72 104022836.2
WESCOT TOPCO LTD 4007020Z LN -28467510.91 115035189
WEST HAM UNITED 1275834Z LN -60233495.23 174701255.1
WHELCO HOLDINGS 2741744Z LN -1295249.714 100781831
WHITE HART LANE 2004631Z LN -2707112.668 144247464.4
WIGHTLINK LTD 1385642Z LN -15131435.92 231775265.6
WILLIAM HILL-W/I 605547Q US -59180694.37 1343662688
WILLIAM HILL-W/I 101001Q LN -59180694.37 1343662688
WINCANTON PL-ADR WNCNY US -429205125.4 907823159.4
WINCANTON PLC WIN1 S1 -429205125.4 907823159.4
WINCANTON PLC WIN IX -429205125.4 907823159.4
WINCANTON PLC WIN12 EO -429205125.4 907823159.4
WINCANTON PLC WIN LN -429205125.4 907823159.4
WINCANTON PLC WIN10 EO -429205125.4 907823159.4
WINCANTON PLC WIN1EUR EO -429205125.4 907823159.4
WINCANTON PLC WIN1 TQ -429205125.4 907823159.4
WINCANTON PLC WIN1EUR EU -429205125.4 907823159.4
WINCANTON PLC WIN1 EU -429205125.4 907823159.4
WINCANTON PLC WIN1 EO -429205125.4 907823159.4
WINCANTON PLC WIN1USD EU -429205125.4 907823159.4
WINCANTON PLC WIN PO -429205125.4 907823159.4
WINCANTON PLC WIN9 EO -429205125.4 907823159.4
WINCANTON PLC WIN6 EO -429205125.4 907823159.4
WINCANTON PLC WIN13 EO -429205125.4 907823159.4
WINCANTON PLC WIN1GBP EO -429205125.4 907823159.4
WINCANTON PLC WIN1 QM -429205125.4 907823159.4
WINCANTON PLC WIN4 EO -429205125.4 907823159.4
WINCANTON PLC WIN5 EO -429205125.4 907823159.4
WINCANTON PLC WIN11 EO -429205125.4 907823159.4
WINCANTON PLC WIN7 EO -429205125.4 907823159.4
WINCANTON PLC WNCNF US -429205125.4 907823159.4
WINCANTON PLC WIN1 BQ -429205125.4 907823159.4
WINCANTON PLC WIN1 EB -429205125.4 907823159.4
WINCANTON PLC WIN VX -429205125.4 907823159.4
WINCANTON PLC WIN1 NQ -429205125.4 907823159.4
WINCANTON PLC WIN PZ -429205125.4 907823159.4
WINCANTON PLC WIN1USD EO -429205125.4 907823159.4
WINCANTON PLC WIN8 EO -429205125.4 907823159.4
WINDSOR TELEVISI 1475394Z LN -249144874.4 319668047.9
WINTERTHUR FINAN 1353474Z LN -5097471.01 146472274
XCHANGING UK LTD 1814130Z LN -33399235.51 334395990.3
XSTRATA SERVICES 1975918Z LN -96321998.22 192299104.1
YANG MING UK LTD 1756777Z LN -38774828.18 293310550.5
YARLINGTON HOUSI 4435313Z LN -18443811.91 276648958.8
YOUNG'S BLUECRES 1841386Z LN -45872663.66 308087238.8
ZURICH EMPLOYMEN 1292298Z LN -122911831.6 159138559.6
*********
Monday's edition of the TCR delivers a list of indicative prices
for bond issues that reportedly trade well below par. Prices are
obtained by TCR editors from a variety of outside sources during
the prior week we think are reliable. Those sources may not,
however, be complete or accurate. The Monday Bond Pricing table
is compiled on the Friday prior to publication. Prices reported
are not intended to reflect actual trades. Prices for actual
trades are probably different. Our objective is to share
information, not make markets in publicly traded securities.
Nothing in the TCR constitutes an offer or solicitation to buy or
sell any security of any kind. It is likely that some entity
affiliated with a TCR editor holds some position in the issuers'
public debt and equity securities about which we report.
Each Tuesday edition of the TCR contains a list of companies with
insolvent balance sheets whose shares trade higher than US$3 per
share in public markets. At first glance, this list may look
like the definitive compilation of stocks that are ideal to sell
short. Don't be fooled. Assets, for example, reported at
historical cost net of depreciation may understate the true value
of a firm's assets. A company may establish reserves on its
balance sheet for liabilities that may never materialize. The
prices at which equity securities trade in public market are
determined by more than a balance sheet solvency test.
A list of Meetings, Conferences and Seminars appears in each
Thursday's edition of the TCR. Submissions about insolvency-
related conferences are encouraged. Send announcements to
conferences@bankrupt.com
Each Friday's edition of the TCR includes a review about a book
of interest to troubled company professionals. All titles are
available at your local bookstore or through Amazon.com. Go to
http://www.bankrupt.com/booksto order any title today.
*********
S U B S C R I P T I O N I N F O R M A T I O N
Troubled Company Reporter-Europe is a daily newsletter co-
published by Bankruptcy Creditors' Service, Inc., Fairless Hills,
Pennsylvania, USA, and Beard Group, Inc., Washington, D.C., USA.
Valerie U. Pascual, Marites O. Claro, Rousel Elaine T. Fernandez,
Joy A. Agravante, Ivy B. Magdadaro, Frauline S. Abangan and Peter
A. Chapman, Editors.
Copyright 2013. All rights reserved. ISSN 1529-2754.
This material is copyrighted and any commercial use, resale or
publication in any form (including e-mail forwarding, electronic
re-mailing and photocopying) is strictly prohibited without prior
written permission of the publishers.
Information contained herein is obtained from sources believed to
be reliable, but is not guaranteed.
The TCR Europe subscription rate is US$775 per half-year,
delivered via e-mail. Additional e-mail subscriptions for
members of the same firm for the term of the initial subscription
or balance thereof are US$25 each. For subscription information,
contact Peter Chapman at 215-945-7000 or Nina Novak at
202-241-8200.
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