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GLOBAL MORTGAGE SECURITIZATION LTD - Class X-A1 Notional Variable Rate Notes due 25 November 2032
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GLOBAL MORTGAGE SECURITIZATION LTD 8
Class X-A1 Notional Variable Rate Notes due 25 November 2032
ISIN USG39290AD61
SEDOL B059421
Series Class X-A1 Notional Variable Rate Notes due 25 November 2032
Status Listed
Listing Date 21/12/2004
Payment Frequency Monthly
Maturity Date 25/11/2032
Interest Payment Date 27/12/2004
Coupon Rate 0
Currency USD
Amount Listed 3,021,027,000
Market Type MSM
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Note: GEM is a market for debt and derivative securities which is operated and regulated by the Irish Stock Exchange.

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