Mitsubishi Securities International PLC


As Agent Bank, please be advised of the following rate determined on: 13-Sep-2007

Issue               : Mitsubishi Securities International Plc - Series 283
                      JPY 1,000,000,000.00 Fixed/FRN FRN Due 15-Mar-2017
ISIN Number         : XS0144058954
Common Code/        : 14405895
144A ISIN
Issue Nomin     JPY : 1,000,000,000.00
Period              : 17-Sep-2007 to 17-Dec-2007          Payment Date 17-Dec-2007
Number of Days      : 90
Rate                : 1.811
Denomination JPY    : 100,000,000.00

Amount Payable
per Denomination    : 446,547.00

Bank of New York
Rate Fix Desk                           Telephone 44 1202 689580
Institutional Trust Services  Facsimille          44 1202 689601



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