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Thursday 27 January, 2005

Sachsen LB Europe

RE: Rate Fixes

Sachsen LB Europe plc
27 January 2005

SACHSEN LB EUROPE PLC



27 JANUARY 2005



RE: RATE FIX NOTIFICATION





AS AGENT BANK, PLEASE BE ADVISED OF THE FOLLOWING RATE DETERMINED ON: 02 DEC
2004





SACHSEN LB EUROPE PLC - SERIES 83

EUR€ 50,000,000 FRN DUE 13 DEC 2009

ISIN: XS0207342642

PERIOD: 06 DEC 2004 TO 13 DEC 2004

ISSUE NOMINAL EUR: 50,000,000.00

NUMBER OF DAYS: 7

RATE: 2.067

PAYMENT DATE: 13 DEC 2004

DENOMINATION EU:                               250,000.00
50,000,000.00

AMOUNT PAYABLE PER DENOMINATION: 100.48                          20,095.83





AS AGENT BANK, PLEASE BE ADVISED OF THE FOLLOWING RATE DETERMINED ON: 20 JAN
2005





SACHSEN LB EUROPE PLC - SERIES 77

EUR€ 10,000,000 FRN DUE 22 OCT 2015

ISIN: XS0199032904

PERIOD: 24 JAN 2005 TO 22 APR 2005

ISSUE NOMINAL EUR: 10,000,000.00

NUMBER OF DAYS: 88

RATE: 2.314

PAYMENT DATE: 22 APR 2005

DENOMINATION EU:                               100,000.00

AMOUNT PAYABLE PER DENOMINATION: 565.64





SACHSEN LB EUROPE PLC - SERIES 81

EUR€ 20,000,000 FRN DUE 22 JUL 2015

ISIN: XS0206021395

PERIOD: 24 JAN 2005 TO 22 APR 2005

ISSUE NOMINAL EUR: 20,000,000.00

NUMBER OF DAYS: 88

RATE: 2.264

PAYMENT DATE: 22 APR 2005

DENOMINATION EU:                               100,000.00
20,000,000.00

AMOUNT PAYABLE PER DENOMINATION: 553.42                          110,684.44







INSTITUTIONAL TRUST SERVICES

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FAX: 0044 1202 34 7438









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                            The Irish Stock Exchange










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