Mitsubishi Corporation Finance Plc


ISIN Code. XS0246581630
Our Ref. M74113
ISSUE NAME.
Mitsubishi Corporation Finance Plc
JPY 1,000,000,000 Fixed to Inverse Floating Rate
Callable Notes due 22/03/2013 Series: 519
MTN
INTEREST PERIOD. 22/03/2007 TO 22/09/2007
VALUE DATE. 22/09/2007
INTEREST RATE. 1.14375PCT PCT
NUM OF DAYS. 180
DAY BASIS. 30/360 Bond Basis
CURRENCY CODE. JPY
INTEREST AMT PER DENOM.
JPY 100,000,000.00 IS JPY 571,875.00

POOL FACTOR. N/A



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