Amount: £5bn fungible with two issues £11.5bn launched 21 October 2009 and 23 February 2010
Maturity: 22 January 2060
Issue/re-offer price: 99.926
Spread at re-offer: 0.75bp through the 4.25% December 2055 Gilt
Launched: Tuesday 28 June
Payment date: 29 June
Joint books: Barclays Capital, Deutsche Bank, Goldman Sachs, RBC Capital Markets
Borrowers comment:Because ...
Please take a trial or subscribe to access this content.
Contact Mark Goodes to discuss your access: email@example.com