SCHEDULE 14A INFORMATION
                                 (RULE 14a-101)
                     INFORMATION REQUIRED IN PROXY STATEMENT

                            SCHEDULE 14A INFORMATION
           PROXY STATEMENT PURSUANT TO SECTION 14(A) OF THE SECURITIES
                    EXCHANGE ACT OF 1934 (AMENDMENT NO. ___)

Filed by the Registrant [x]
Filed by a Party other than the Registrant [ ]

Check the appropriate box:
[ ]Preliminary Proxy Statement                 [ ]Confidential, for Use of the
[ ]Definitive Proxy Statement                     Commission Only (as permitted
[X]Definitive Additional Materials                by Rule 14a-6(e)(2))
[ ]Soliciting Material Under Rule 14a-12

                              CENTRAL BANCORP, INC.
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                (Name of Registrant as Specified in Its Charter)


- --------------------------------------------------------------------------------
    (Name of Person(s) Filing Proxy Statement, if Other Than the Registrant)

Payment  of Filing Fee (Check the appropriate box):
[x]   No fee required.
[ ]   Fee  computed on table below per  Exchange  Act Rules  14a-6(i)(1)  and
      0-11.

      1.  Title of each class of securities to which transaction applies:

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      2. Aggregate number of securities to which transaction applies:

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      3. Per  unit  price  or other  underlying  value  of  transaction
         computed  pursuant  to  Exchange  Act Rule 0-11 (Set forth the
         amount on which the filing fee is calculated  and state how it
         was determined):

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      4. Proposed maximum aggregate value of transaction:

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      5. Total fee paid:

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[ ]   Fee paid previously with preliminary materials:___________________________

[ ]   Check box if any part of the fee is offset as provided by Exchange  Act
      Rule  0-11(a)(2)  and identify the filing for which the  offsetting fee
      was paid previously.  Identify the previous filing by registration
      statement  number, or the Form or Schedule and the date of its filing.

      1. Amount Previously Paid:

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      2. Form, Schedule or Registration Statement No.:

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      3. Filing Party:

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      4. Date Filed:

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                       [CENTRAL BANCORP, INC. LETTERHEAD]

For More Information:

William P. Morrissey                                        Release: Immediately
Senior Vice President
(617) 628-4000


                     CENTRAL BANCORP RESPONDS TO ALLEGATIONS
                             IN PL CAPITAL LAWSUIT

SOMERVILLE,  MASSACHUSETTS,  October 2, 2002 - Central  Bancorp,  Inc.  (NASDAQ:
CEBK) today  denounced the allegations in a lawsuit filed by PL Capital Group in
Massachusetts  Federal  District Court to challenge the  adjournment of the 2002
Annual Meeting until October 11, 2002.

On  September  30, 2002,  Central  Bancorp  convened its 2002 Annual  Meeting of
Stockholders.  In light of the  importance  of the  election of directors at the
meeting  and the fact that a  significant  number of shares  were not present in
person or by proxy at the annual meeting,  the Chairman  determined to leave the
voting  polls  open  until  October  11,  2002 to allow the  greatest  number of
stockholders to cast their votes.


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