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FRN Variable Rate Fix

LONDON--(BUSINESS WIRE)-- 

Re:

Equity Release Funding No 3

 

GBP 42,000,000.00

 

MATURING: 26-Apr-2038

 

ISIN: XS0169951000

 

 

PLEASE BE ADVISED THAT THE INTEREST RATE FOR THE PERIOD 27-Apr-2026 TO 27-Jul-2026

HAS BEEN FIXED AT 5.27 PCT

 

DAY BASIS: ACTUAL/365(FIX)

 

INTEREST PAYABLE VALUE 27-Jul-2026 WILL AMOUNT TO:

GBP 18.37 PER GBP 1,000.00 DENOMINATION

 

Category Code: RC
Sequence Number: 1597222
Time of Receipt (offset from UTC): 20260721T165929+0100

Contacts

Citibank

Citibank

LSE:39QA

Release Versions

Contacts

Citibank

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