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56KD Res.mort.2'a'br

0.00
0.00 (0.00%)
Last Updated: -
Delayed by 15 minutes
Name Symbol Market Type
Res.mort.2'a'br LSE:56KD 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

18/12/2000 7:46am

UK Regulatory


RNS Number:9427V
Residential Mortgage Secs No.2 PLC
15 December 2000



ISIN CODE:        XS0076800829
ISSUE NAME:       RESIDENTIAL MORTGAGE SECURITIES 2 PLC CLASS A
                  GBP 46,100,000 DUE 05/2037
INTEREST PERIOD:  15.12.2000 TO 15.03.2001
VALUE DATE:       15.03.2001
INTEREST RATE:    6.15 PCT      NUM OF DAYS: 90
YEAR BASIS:       365           MONTH BASIS: ACTUAL
CURRENCY CODE:    GBP
DENOMINATION:     GBP 700.51
INTEREST AMT PER 
DENOM:            GBP 700.51 IS GBP 10.62
POOL FACTOR:      0.70051

ISIN CODE:        XS0076801470
ISSUE NAME:       RESIDENTIAL MORTGAGE SECURITIES 2 PLC CLASS B 
                  GBP 2,480,000 DUE 05/2037
INTEREST PERIOD:  15.12.2000 TO 15.03.2001
VALUE DATE:       15.03.2001
INTEREST RATE:    9 PCT         NUM OF DAYS: 90
YEAR BASIS:       365           MONTH BASIS:ACTUAL
CURRENCY CODE:    GBP
DENOMINATION:     GBP 10,000
INTEREST AMT PER 
DENOM:            GBP 10,000 IS GBP 221.92
POOL FACTOR:      N/A

ISIN CODE:        XS0076801397
ISSUE NAME:       RESIDENTIAL MORTGAGE SECURITIES 2 PLC CLASS M 
                  GBP 4,110,000 DUE 05/2037
INTEREST PERIOD:  15.12.2000 TO 15.03.2001
VALUE DATE:       15.03.2001
INTEREST RATE:    6.4 PCT       NUM OF DAYS: 90
YEAR BASIS:       365           MONTH BASIS: ACTUAL
CURRENCY CODE:    GBP
DENOMINATION:     GBP 10,000
INTEREST AMT PER 
DENOM:            GBP 10,000 IS GBP 157.81
POOL FACTOR N/A


1 Year Res.mort.2'a'br Chart

1 Year Res.mort.2'a'br Chart

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1 Month Res.mort.2'a'br Chart

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