Corporate Debt security Details

P1 Reversions Limited

Description £121,539,648 4.04% fixed rate unsecured loan notes due 22 November 2032
Series
Coupon Fixed 4.04
Coupon Frequency Quarterly
Maturity Date 22 Nov 2032
Issue Date 22 Nov 2017
Currency GBP
Listed Amount Outstanding 38,558,130.13
Minimum Denomination -
1st Interest Payment Date 31 Mar 2018
Listing Type Primary Listing on CSX
ISIN GB00BFYFZW29

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