TIDM81RH 
 
 

25 January 2012

 

Issue: Northumbrian Water Finance Plc

 

2.033PCT Index Linked Guaranteed Bonds due 2036

 

XS0230235474

 

Pursuant to our appointment as Agent for the above stated issue, please be advised of the following interest rate determination:

 

Date From: 16 January 2012

 

Date To: 16 July 2012

 

Value Date: 16 July 2012

 

Benchmark Rate: 2.5669%

 

Margin: %

 

Total Rate: 2.5669%

 

Number of Days: 182

 

Day Count: Actual / Actual (ICMA)

 

Interest Frequency: Semi-Annually

 

Denomination: GBP 50,000.00

 

Amount per Denomination:

 

GBP 641.73

 

Total Amount Due:

 

GBP 1,925,190.00

 

Pool Factor: 1

 
 
 
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