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73IW Perp.trust A337

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Name Symbol Market Type
Perp.trust A337 LSE:73IW London Bond
  Price Change % Change Price Bid Price Offer Price High Price Low Price Open Price Traded Last Trade
  0.00 0.00% 0 -

FRN Variable Rate Fix

10/11/2009 3:53pm

UK Regulatory



 
TIDM73IW 
 
 
As Agent Bank, please be advised of the following rate determined  on: 10-Nov-2009 
Issue                            ¦ SWAN Trust series 2006-1E 
                                 EUR 720,000,000 Class A3 Mortgage Backed Floating Rate Notes due  12 May 2037 
ISIN Number                      ¦ XS0254988529 
ISIN Reference                   ¦ 
Issue Nomin EUR                  ¦ 720,000,000.00 
Period                           ¦ 12-Nov-2009 to 12-Feb-2010    Payment Date 12-Feb-2010 
Number of Days                   ¦ 92.00000000000 
Rate                             ¦ 0.795                        Pool Factor: 0.319466862 
Denomination EUR                 ¦ 100,000.00  ¦                    ¦ 
Amount Payable per Denomination  ¦ 64.91       ¦                    ¦ 
Bank of New York 
Rate Fix Desk                                 Telephone           ¦ 44 1202 689580 
Corporate Trust Services                       Facsimile          ¦ 44 1202 689601 
 
 
 
 
 

1 Year Perp.trust A337 Chart

1 Year Perp.trust A337 Chart

1 Month Perp.trust A337 Chart

1 Month Perp.trust A337 Chart