US05571AAG04 - USF11494AJ45


ISIN code BPCE Final Offering Memorandum January 31, 2011.pdf US05571AAG04 - USF11494AJ45 (572.30 ko)
Amount of issue 1,100,000,000.00 USD
Settlement date 07/02/2011
Term 3 years
Date of repayment 07/02/2014
Issue price 99,846%
Yield 3-month USD Libor + 1.75%
Repayment of capital Reimbursement at maturity of 100% of the face value
Visa Interest payable quarterly
Listing not listed
Press release