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  DateDocument TypeTitleIssuer/Entity
24 Feb 2012 Covenant Quality Assessment Viridian Group FundCo II Limited - Pre-Sale Snapshot - £/$_ _% Senior Secured Notes due 2017 Viridian Group ...
Viridian Group ...
Viridian Power ...
24 Feb 2010 Covenant Quality Assessment Gas Natural Capital Markets, S.A.; Notes listed in Appendix C issued under the €10 billion Euro Medium Term Note Programme (Base Prospectus (15 December 2009); Guaranteed by Gas Natural SDG, S.A. Gas Natural Capital Markets, S.A.
26 Jan 2010 Covenant Quality Assessment Gas Natural Capital Markets, S.A. - Notes listed in Appendix C issued under the €8 billion Euro Medium Term Note Programme (Base Prospectus (2 December 2008)), Guaranteed by Gas Natural SDG, S.A. Gas Natural Capital Markets, S.A.
01 Dec 2009 Covenant Quality Assessment A2A S.p.A. Incorporated with limited liability in the Republic of Italy Reference Securities: €1 billion 4.50% Notes due 2 November 2016 A2A SpA
20 May 2009 Covenant Quality Assessment E.ON International Finance B.V. - Notes issued under EMTN Programme (January 2007) Coupon and maturity range: 3%- 6%, 2010-2037 See Appendix C for a complete list of Reference Securities E.ON International Finance B.V.
20 May 2009 Covenant Quality Assessment E.ON International Finance B.V. - U.S.$2 billion 5.80% Notes due 2018 U.S.$1 billion 6.65% Notes due 2038 E.ON International Finance B.V.
20 May 2009 Covenant Quality Assessment E.ON International Finance B.V. - Notes issued under €30 billion Debt Issuance Programme (December 2007 and December 2008) Coupon and maturity range: 2%-6.75%, 2010-2039 See Appendix C for a complete list of Reference Securities E.ON International Finance B.V.
20 May 2009 Covenant Quality Assessment E.ON International Finance B.V. - Notes issued under €7.5 billion EMTN Programme (November 16, 2001) Coupon and maturity range: 5.75%-6.375%, 2009 - 2032 See Appendix C for a complete list of Reference Securities E.ON International Finance B.V.
20 May 2009 Covenant Quality Assessment E.ON AG - Notes issued under €30 billion Debt Issuance Programme dated as of December 19, 2007; Coupon and maturity range: Zero coupon & floating rate, 2010 - 2012 See Appendix C for a complete list of Reference Securities E.ON SE
25 Jul 2008 Covenant Quality Assessment Iberdrola Finanzas, S.A.U. - €20 billion EMTN programme (base prospectus 27 July 07): €1,000,000,000 5.125% Guaranteed Notes due 2013; €750,000,000 5.625% Guaranteed Notes due 2018 Iberdrola Finanzas, S.A.U.
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