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Reference Notes® Securities Issuance

As Of COB 09/29/2008

Issue Date Original Maturity in Years Coupon Maturity Date CUSIP ISIN Number Issue Price Interest Accrual Date Reopened Issue Amount (in MM) First Coupon Date Minimum Piece (in Thou.) Listing
09/19/2000 10 YR 5.75 09/15/2010 3134A35G7 XS0117858323 99.734 09/19/2000 * 5000 09/15/2001 1Luxembourg & Paris
12/04/2000 5 YR 5.25 01/15/2006 31339QAC3 XS0121336266 99.807 12/04/2000 * 5000 01/15/2001 1Luxembourg & Paris
03/05/2001 3 YR 4.50 03/15/2004 31339QAD1 XS0125902451 99.823 03/05/2001 * 5000 03/15/2001 1Luxembourg
06/22/2001 5 YR 5.25 01/15/2006 31339QAC3 XS0121336266 101.780 06/22/2001 Yes 1000 01/15/2002 1Luxembourg & Paris
06/22/2001 3 YR 4.50 03/15/2004 31339QAD1 XS0125902451 99.900 06/22/2001 Yes 3000 03/15/2002 1Luxembourg
06/22/2001 10 YR 5.75 09/15/2010 3134A35G7 XS0117858323 102.810 06/22/2001 Yes 1000 09/15/2001 1Luxembourg & Paris
10/02/2001 10 YR 5.13 01/15/2012 31339QAE9 XS0136341814 99.207 10/02/2001 * 5000 01/15/2002 1Luxembourg
01/28/2002 5 YR 4.63 02/15/2007 31339QAF6 XS0142391209 99.851 01/28/2002 * 5000 02/15/2002 1Luxembourg
04/29/2002 3 YR 4.63 05/15/2005 31339QAG4 XS0146883581 99.957 04/29/2002 * 5000 05/15/2002 1Luxembourg & Paris
09/30/2002 10 YR 4.75 01/15/2013 31339QAH2 XS0154444870 99.727 09/30/2002 * 5000 01/15/2003 1Luxembourg & Paris
01/31/2003 5 YR 3.50 02/15/2008 31339QAJ8 XS0161387468 99.871 01/31/2003 * 4000 02/15/2003 1Luxembourg
01/27/2004 10 YR 4.38 01/15/2014 31339QAA7 XS0184595311 99.528 01/27/2004 * 4000 01/15/2005 1Luxembourg
06/02/2004 5 YR 3.75 07/15/2009 31339QAB5 XS0193557138 99.906 06/02/2004 * 3000 07/15/2004 1Luxembourg