FRN Variable Rate Fix
18 10์ 2008 - 1:14AM
UK Regulatory
National Grid Electricity Transmission PLC
As Agent Bank, please be advised of the following rate determined on: 15-Oct-2008
Issue ๏ฟฝ National Grid Electricity Transmission plc - Series 48
GBP 150,000,000.00 Index Linked FRN Due 02-May-2039
ISIN Number ๏ฟฝ XS0294583322
Common Code / 144A ๏ฟฝ 29458332
ISIN
Issue Nomin GBP ๏ฟฝ 150,000,000.00
Period ๏ฟฝ 03-Nov-2008 to 01-May-2009 Payment Date 01-May-2009
Number of Days ๏ฟฝ 179
Rate ๏ฟฝ 2.036536145
Denomination GBP ๏ฟฝ 50,000.00 ๏ฟฝ 150,000,000.00 ๏ฟฝ
Amount Payable per ๏ฟฝ 509.13 ๏ฟฝ 1,527,402.11 ๏ฟฝ
Denomination
Bank of New York
Rate Fix Desk Telephone ๏ฟฝ 44 1202 689580
Corporate Trust Services Facsimile ๏ฟฝ 44 1202 689601
Nat.grid1.8575% (LSE:83GG)
๊ณผ๊ฑฐ ๋ฐ์ดํฐ ์ฃผ์ ์ฐจํธ
๋ถํฐ 1์(1) 2025 ์ผ๋ก 2์(2) 2025
Nat.grid1.8575% (LSE:83GG)
๊ณผ๊ฑฐ ๋ฐ์ดํฐ ์ฃผ์ ์ฐจํธ
๋ถํฐ 2์(2) 2024 ์ผ๋ก 2์(2) 2025
Nat.grid1.8575% (๋ฐ๋์ฆ๊ถ๊ฑฐ๋์)์ ์ค์๊ฐ ๋ด์ค: ์ต๊ทผ ๊ธฐ์ฌ 0
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