IMI Bank Intrntl - FRN Variable Rate Fix
04 Juni 1999 - 9:35AM
UK Regulatory
RNS No 2961h
IMI BANK INTERNATIONAL PLC
3 June 1999
RE. IMI BANK GBP 125,000,000 SERIES 85 EMTN DUE
07.12.99
ISIN CODE XS0054372296
INTEREST PERIOD 07.06.99 TO 07.09.99
INTEREST RATE SET 5.50063 PER CENT
INTEREST PAYABLE PER DENOMINATION OF GBP 100,000
IS GBP 1,386.46
INTEREST PAYABLE DATE 07.09.99
GEORGE AMANSHIA
BANKERS TRUST COMPANY
CORPORATE TRUST AND AGENCY GROUP
TEL +44 171 933 1527/1916/5903
FAX +44 171 933 2156
END
RC GLGGVRFMLLMM
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