Payable in arrears on the 18th day of each February, May, August and November, commencing on August 18, 2010 and Monthly, x Quarterly, ¨ Semi-Annually, ¨ Annually, Interest Rate: For each Interest Period commencing on or after the Original Issue Date, the Reference Rate plus the Spread ¨ Other (see description in this pricing supplement) Interest Rate Type: Day Count Convention:ĭesignated LIBOR Page: Reuters: LIBOR01 ¨ Prime Rate Original Trade Date: May 13, 2010 Maturity Date: May 18, 2011ĬUSIP: 06740LM85 Denominations: Minimum denominations of US$1,000 and integral multiples of US$1,000 thereafter. Principal Protection Percentage: 100% Original Issue Date: May 18, 2010 Issue Price: 100% Series: Global Medium-Term Notes, Series A Principal Amount: US$81,000,000 Issuer: Barclays Bank PLC (Rated AA/Aa3)1 The Prospectus Supplement dated March 1, 2010) (To Prospectus dated February 10, 2009 and Title of Each Class of Securities OfferedĬalculated in accordance with Rule 457(r) of the Securities Act of 1933.
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