FRN Variable Rate Fix
January 07 2011 - 11:05AM
UK Regulatory
TIDM81RH
07 January 2011
Issue: Northumbrian Water Finance Plc
2.033% Index Linked Guaranteed Bonds due 2036
XS0230235474
Pursuant to our appointment as Agent for the above stated issue,
please be advised of the following interest rate determination:
Date From: 17 January 2011
Date To: 15 July 2011
Value Date: 15 July 2011
Benchmark Rate: 2.4408%
Margin: %
Total Rate: 2.4408%
Number of Days: 179
Day Count: Actual / Actual (ICMA)
Interest Frequency: Semi-Annually
Denomination: GBP 50,000.00
Amount per Denomination:
GBP 610.20
Total Amount Due:
GBP 1,830,600.00
Pool Factor: 1
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