Traded bond | Date | Maturity | Original Issue | Outstanding | Retained | Coupon |
ISIN - XS0829538338 |
20/09/2012 | 20/09/2044 | £150m | £150m | 0 | 5.09% |
02/08/2020 | 12/08/2050 | £250m | £175m | £75m | 1.83% |
Traded bond | Date | Maturity | Original Issue | Outstanding | Retained | Coupon |
ISIN - XS0829538338 |
20/09/2012 | 20/09/2044 | £150m | £150m | 0 | 5.09% |
ISIN - XS2212022367 |
02/08/2020 | 12/08/2050 | £250m | £175m | £75m | 1.83% |