Tranche 1: $1bnMaturity: 19 March 2009
Issue/fixed re-offer price: 106.125Coupon: 5.95%
Spread at re-offer: 164.8bp over Treasuries
Tranche 2: $750mMaturity: 11 January 2040
Issue/fixed re-offer price: 100.10Coupon: 6.05%
Spread at re-offer: 181.6bp over TreasuriesLaunched: Friday18 SeptemberPayment date: 25 SeptemberJoint books: Barclays Capital, JPMorgan
Borrowers comment:This issue was part of our 2009 ...
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