Maturity: 15 February 2042 (scheduled maturity); 15 February 2067 (final maturity)
Issue price: 99.382
Call option: at par from 15 February 2017; thereafter coupon changes to three month Libor plus 173.5bp
Spread at re-offer: 125bp over US Treasuries
Launch date: Thursday 1 February
Payment date: 8 FebruaryJoint books: Barclays Capital, ...
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