FRN Variable Rate Fix

 

Re: Equity Release Funding No 3
GBP 42,000,000.00
MATURING: 26-Apr-2038
ISIN: XS0169951000
PLEASE BE ADVISED THAT THE INTEREST RATE FOR THE PERIOD 28-Jul-2025 TO 27-Oct-2025
HAS BEEN FIXED AT 5.55 PCT
DAY BASIS: ACTUAL/365(FIX)
INTEREST PAYABLE VALUE 27-Oct-2025 WILL AMOUNT TO:
GBP 19.08 PER GBP 1,000.00 DENOMINATION

 

UK 100

Latest directors dealings