RNS Number:5326Q
Income Partners Asian Coll.Ass.I Ld
25 January 2002



Date: January 24,2002 

RE: Income Partners Asian Collateralized Assets I Limited 
    - Interest and Principal Payments
 
Value Date:  July 30, 2001

Interest Accrual for the Period:     July 30, 2001  to January 30, 2002
Accrual Basis:                       Actual/360   
Number of Days:                      184.00 days
6 Month LIBOR                        3.730000%


Payments from the Interest Subaccount (1/835102/005):            
                                                                  
                                                                 Total
                                      Interest   Principal    Payment from
                                      Payment    Payment    Interest Subaccount

Senior Notes:                      2,034,222.22     0.00      2,034,222.22
Subordinated Notes:                  955,208.12     0.00        955,208.12

 
Payments from the Principal Subaccount (1/835497/018):
 
                                                                 Total
                                      Interest   Principal    Payment from
                                      Payment    Payment    Interest Subaccount
Senior Notes:                           0.00       0.00                0.00
Subordinated Notes:                     0.00       0.00                0.00
 
Grand total from the Interest and Principal Subaccounts:       2,989,430.34
 

Income Partners Asian Collateralized Assets I Limited 

Payment Date January 30,2002

Supporting Information 


Interest Accrual for the Period:     July 30, 2001  to January 30, 2002
Accrual Basis:                       Actual/360   
Number of Days:                      184.00 days
6 Month LIBOR                        3.730000%
 
                                   Aggregate Detail
Interest Payments:

Note          Balance         Interest     Interest Add'l Interest Interest Payment  Interest Payment   Payment Amount
                               Rate                                  Amount Due        Amount Paid      Per $1,000,000*
Senior Notes  100,000,000.00 3.980000%  2,034,222.22      0.00      2,034,222.22      2,034,222.22        20,342.22
Subordinated
  Notes        54,000,000.00 3.460899%    955,208.12      0.00        955,208.12        955,208.12        17,689.04

Principal Payments:

Note              Balance   Principal Due  Principal Paid  New Balance    Payment Amount   Factor **    Original Balance
                                                                         Per $1,000,000*               
Senior Notes  100,000,000.00      0.00        0.00        100,000,000,00      0.00         1.00000000    100,000,000.00
Subordinated 
 Notes         54,000,000.00      0.00        0.00         54,000,000.00      0.00         1.00000000     54,000,000.00

* 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.

** The factor is calculated based on the balance prior to the principal paydown.


Income Partners Asian Collateralized Assets 1 Limited 
Payment Date 
January 30,2002

Supporting Information 

Interest Accrual for the Period:     July 30, 2001  to January 30, 2002
Accrual Basis:                       Actual/360   
Number of Days:                      184.00 days
6 Month LIBOR                        3.730000%
 
                                   U.S. Noteholder Detail

U.S. Noteholder Interest Payments:

Note          Balance        Interest     Interest   Add'l Interest  Interest Payment  Interest Payment  Payment Amount
                               Rate                                   Amount Due         Amount Paid     Per $1,000,000*
Senior Notes  33,000,000.00  3.980000%   671,293.33      0.00         671,293.33          671,293.33       20,342.22
Subordinated
  Notes                0.00  3.460899%         0.00      0.00               0.00                0.00            0.00

U.S. Noteholder Principal Payments:

Note             Balance   Principal Due Principal Paid  New Balance     Payment Amount 
                                                                         Per $1,000,000*     Factor**   
Senior Notes   33,000,000.00      0.00      0.00        33,000,000,00       0.00           1.00000000   
Subordinated 
 Notes                  0.00      0.00      0.00                 0.00       0.00           1.00000000   


* 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.

** The factor is calculated based on the balance prior to the principal paydown.



Income Partners Asian Collateralized Assets 1 Limited 
Payment Date 
January 30, 2002
Supporting Information 

Interest Accrual for the Period:     July 30, 2001  to January 30, 2002
Accrual Basis:                       Actual/360   
Number of Days:                      184.00 days
6 Month LIBOR                        3.730000%
 
                                 Non-U.S. Noteholder Detail

Non-U.S. Noteholder Interest Payments:

Note          Balance        Interest     Interest   Add'l Interest Interest Payment  Interest Payment  Payment Amount
                               Rate                                  Amount Due        Amount Paid     Per $1,000,000*
Senior Notes  67,000,000.00  3.980000%  1,362,928.88     0.00       1,362,928.88       1,362,928.88      20,342.22
Subordinated
  Notes       54,000,000.00  3.460899%    955,208.12     0.00         955,208.12         955,208.12      17,689.04

Non-U.S. Noteholder Principal Payments:

Note             Balance     Principal Due   Principal Paid   New Balance     Payment Amount 
                                                                             Per $1,000,000*     Factor**   
Senior Notes   67,000,000.00      0.00          0.00         67,000,000,00       0.00           1.00000000   
Subordinated                                              
 Notes         54,000,000.00      0.00          0.00         54,000,000.00       0.00           1.00000000   


* 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.

** The factor is calculated based on the balance prior to the principal paydown.



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            The company news service from the London Stock Exchange


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