FRN Variable Rate Fix
August 31 2007 - 3:05AM
UK Regulatory
Mitsubishi Securities International PLC
As Agent Bank, please be advised of the following rate determined on:30-Aug-2007
Issue : Mitsubishi Securities International PLC - Series 251
JPY 500,000,000 MTN/Fixed - CMS Due 3 Sep 2021
ISIN Number : XS0134339414
Common Code/
144A ISIN : 13433941
Issue Nomin JPY : 500,000,000.00
Period : 03-Sep-2007 to 03-Mar-2008 Payment Date 03-Mar-2008
Number of Days : 182
Rate : 2.005
Denomination JPY : 100,000,000
Amount Payable
per Denomination : 999,753
Bank of New York
Rate Fix Desk Telephone 44 1202 689580
Corporate Trust Services Facsimile 44 1202 689601
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