REG-Bank Muscat FRN Variable Rate Fix

* Reuters is not responsible for the content in this press release.

Thu Oct 29, 2009 10:53am EDT

LONDON--(Business Wire)--


28 October 2009 

Issue: Bank Muscat 

2 

XS0272235671 

Pursuant to our appointment as Agent for the above stated issue, please be 

advised of the following periodic payment rate determination: 

Date From: 30 October 2009 

Date To: 29 January 2010 

Value Date: 29 January 2010 

Benchmark Rate: 0.28063% 

Margin: 0.41% 

Total Rate: 0.69063% 

Number of Days: 91 

Day Count: Actual / 360 

Periodic Payment Frequency: Quarterly 

Denomination: USD 100,000.00 

Amount per Denomination: 

USD 174.58 

Total Amount Due: 

USD 43,645.00 

Pool Factor: 1

Bank Muscat 

Copyright Business Wire 2009

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