Chester Asset - FRN Variable Rate Fix
September 16 1999 - 10:53AM
UK Regulatory
RNS No 5770x
CHESTER ASSET RECEIVABLES DEALING NO7 LIMITED
16 September 1999
RE :CHESTER ASSET RECEIVABLES DEALING NO7 LTD GBP
240,000,000 DUE 2001
ISIN CODE :XS0092697621
INTEREST PERIOD :15.09.99 TO 15.12.99
INTEREST RATE SET :5.73297 PER CENT
INTEREST PAYABLE PER
DENOMINATION OF GBP :10,000 IS GBP 142.93
INTEREST PAYANLE DATE : 15.12.99
END
RC ALLELAEIRLAA
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