CUSIP Detail |
| Cusip/ISIN: | 31339QAE9 XS0136341814 |
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| Instrument Type: | Euro Reference Notes | Call Type: | N/A |
| Issue Date: | 10/02/2001 | Issue Price: | 99.206999999999994 |
| Amount Issued: | €5,000,000,000 | Lockout Period: | N/A |
| Currency: | EUR | Denomination: | €1,000 |
| First Payment: | 01/15/2002 | Maturity Date: | 01/15/2012 |
| Original Coupon: | 5.125% | Current Coupon: | 5.125% |
| Underwriters: |
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