LONDON--()--
Merrill Lynch S.A.
JPY 600,000,000 Vrble Eqty Lnkd Cpm Amt. Atmtc
ErlyRdmp Eqty Lnkd Rdmp Nts due 23/02/2010 S609 T1
MTN
CASH SETTLEMENT - JPY 230,904
SHARES DETAILS - 34,440 SHS OF JP3027650005
DELIVERY AGENT: MERRILL LYNCH INTERNATIONAL
VALUE DATE: 23.02.2010
ISIN : XS0287610231
Please arrange to reflect this in your records

