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PROGRAMME FOR THE ISSUANCE OF NOTES AND OTHER SECURED OBLIGATIONS. - CORSAIR JERSEY NO.3 LIMITED - Series 3 Series 3 EUR 18500000 Floating Rate Portfolio Credit-Linked Notes due 2027
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PROGRAMME FOR THE ISSUANCE OF NOTES AND OTHER SECURED OBLIGATIONS. 13 64
CORSAIR JERSEY NO.3 LIMITED 2
Series 3 Series 3 EUR 18500000 Floating Rate Portfolio Credit-Linked Notes due 2027
ISIN XS0158368141
SEDOL 3376139
Series Series 3 Series 3 EUR 18500000 Floating Rate Portfolio Credit-Linked Notes due 2027
Status Listed
Listing Date 28/10/2003
Payment Frequency Annual
Maturity Date 13/12/2027
Interest Payment Date 13/12/2003
Coupon Rate 0
Currency EUR
Amount Listed 18,500,000
Market Type MSM
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