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Cusip/ISIN: 31339QAB5
XS0193557138
Instrument Type: Euro Reference Notes Call Type: N/A
Issue Date: 06/02/2004 Issue Price: 99.906000000000006
Amount Issued: €3,000,000,000 Lockout Period: N/A
Currency: EUR Denomination: €1,000
First Payment: 07/15/2004 Maturity Date: 07/15/2009
Original Coupon: 3.750% Current Coupon: 3.750%
Underwriters:
Pricing Supplement for 31339QAB5