Westland Utrecht - Doc re Pricing Supplement
October 28 1999 - 2:28PM
UK Regulatory
RNS No 8057f
WESTLAND UTRECHT HYPOTHEEKBANK NV
ISIN: XS0103571526 FROM: 29/10/99
375) JPY500,000,000 FIXED/FLOATING RATE NOTES DUE 28/10/2009
FULLY PAID YIELD: ACTUAL/365
(Represented by Notes to Bearer of JPY100,000,000 each)
Issue Price: 100%
Issuer: CITIBANK NA
A copy of the above is available for inspection from the Company
Announcements office of the Stock Exchange, London.
END
PS AWVBKKAKRUAA
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