Mitsubishi Securities International PLC



As Agent Bank, please be advised of the following rate determined on: 11-Sep-2008
Issue              � Mitsubishi Securities International Plc - Series 283
                     JPY 1,000,000,000.00 Fixed/ FRN Due 15-Mar-2017
ISIN Number        � XS0144058954
Common Code / 144A � 14405895
 ISIN
Issue Nomin JPY    � 1,000,000,000.00
Period             � 16-Sep-2008 to 16-Mar-2009            Payment Date 16-Mar-2009
Number of Days     � 181
Rate               � 1.749
Denomination JPY   � 100,000,000.00        �                      �

Amount Payable per � 867,312.00            �                      �
 Denomination

Bank of New York
Rate Fix Desk                              Telephone       � 44 1202 689580
Corporate Trust Services                   Facsimile       � 44 1202 689601



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