RNS Number:5746U
Originated Mortgage Loans 6 PLC
15 April 2002

As Agent Bank, please be advised of the following rate determined on: 
15-APR-2002.

Issue             : ORIGINATED MORTGAGE LOANS 6 PLC - CLASS A 
                    £264,000,000 MORTGAGE BACKED FRN DUE AUGUST 2032 
ISIN Number       : XS0116247155
Issue Nominal GBP : 264,000,000.00 
Period            : 15-APR-2002  To  15-MAY-2002    Payment Date  15-MAY-2002 
Number of Days    : 30 
Rate              : 4.36719                 POOL FACTOR: 0.46367393
Denomination GBP  : 122,409,916.48 
Amount Payable
Per Denomination  : 439,386.87 


Issue             : ORIGINATED MORTGAGE LOANS 6 PLC - CLASS M 
                    £24,000,000 MORTGAGE BACKED FRN DUE AUGUST 2032 
ISIN Number       : XS0116247239
Issue Nominal GBP : 24,000,000.00 
Period            : 15-APR-2002  To  15-MAY-2002    Payment Date  15-MAY-2002 
Number of Days    : 30 
Rate              : 5.21719
Denomination GBP  : 24,000,000.00 
Amount Payable
Per Denomination  : 102,914.43


Issue             : ORIGINATED MORTGAGE LOANS 6 PLC - CLASS B 
                    £12,000,000 MORTGAGE BACKED FRN DUE AUGUST 2032 
ISIN Number       : XS0116247312
Issue Nominal GBP : 12,000,000.00 
Period            : 15-APR-2002  To  15-MAY-2002    Payment Date  15-MAY-2002 
Number of Days    : 30 
Rate              : 6.61719
Denomination GBP  : 12,000,000.00
Amount Payable
Per Denomination  : 65,265.44

Issue             : ORIGINATED MORTGAGE LOANS 6 PLC - DETACHABLE A COUPONS
                    £261,000,000 MORTGAGE BACKED FRN DUE AUGUST 2032 
ISIN Number       : XS0116325050
Issue Nominal GBP : 264,000,000.00 
Period            : 15-APR-2002  To  15-MAY-2002    Payment Date  15-MAY-2002 
Number of Days    : 30 
Rate              : 0.1808219178                 POOL FACTOR: 0.46367393
Denomination GBP  : 122,409,916.48 
Amount Payable
Per Denomination  : 221,343.96



Issue             : ORIGINATED MORTGAGE LOANS 6 PLC - CLASS S
                    £5,400,000 MORTGAGE BACKED FRN DUE AUGUST 2032 
ISIN Number       : XS0116325480
Issue Nominal GBP : 5,400,000.00 
Period            : 15-APR-2002  To  15-MAY-2002    Payment Date  15-MAY-2002 
Number of Days    : 30 
Rate              : 7.96719                 POOL FACTOR: 0.12840455
Denomination GBP  : 693,384.56
Amount Payable
Per Denomination  : 4,540.54




From:
Institutional    Telephone 44 (0) 1202 34 1286
Trust Services   Facsimile 44 (0) 1202 34 7438







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