FRN Variable Rate Fix
13 August 2002 - 1:03AM
UK Regulatory
RNS Number:2630Z
Income Partners Asian Coll.Ass.I Ld
29 July 2002
RE: Income Partners Asian Collateralized Assets 1 Limited - 6 Month LIBOR
Setting
Pursuant to the Trust Deed Dated 30 July 1997, the Calculation Agent will
determine the offered rate for 6 month US dollar deposits as of 11:00 a.m.
(London Time) on the Interest Determination Date in question. Such offered rate
will be that which appears on the display designated as page 3750 on the
Telerate Monitor (or such other page or service as may replace it for the
purpose of displaying London interbank offered rates of major banks for US
dollar deposits)
Interest Accrual for the Period: July 30, 2002 to January 30, 2003
Accrual Basis: Actual/360
Number of Days: 184.00 days
6 Month Libor: 1.820000%
Payment Date: July 30, 2002
Payment
Note Balance Libor Spread Interest Rate Payment Amount
Amount Per
$1,000,000 Factor
Senior Notes 98,850,855.36 1.820000% 0.25% 2.070000% 1,045,842.05
10,580.00 0.9885086
* The Per $1,000,000 amount is based on the Adjusted Denomination (balance)
Adjusted Denomination means, US$1,000,000 such amount as adjusted from time to
time by deduction of each amount applied in redemption in part of each
US$1,000,000 principal amount of Senior Notes.
This information is provided by RNS
The company news service from the London Stock Exchange
END
RC UKVBRUWRBUAR
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