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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 | - |
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 Month Res.mort.2'a'br Chart |
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