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EUR 10,000,000,000 Euro Medium Term Note Programme - SANTANDER INTERNATIONAL PRODUCTS PLC - Callable Floating Rate Notes Callable Floating Rate Notes due 28 June 2015
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Debt Security Programme Debt Security Non-Programme Debt Security Tranche Debt Security Document
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EUR 10,000,000,000 Euro Medium Term Note Programme 1 151
SANTANDER INTERNATIONAL PRODUCTS PLC 151
Callable Floating Rate Notes Callable Floating Rate Notes due 28 June 2015
ISIN XS0221799009
SEDOL B0HXZG2
Series Callable Floating Rate Notes Callable Floating Rate Notes due 28 June 2015
Status Listed
Listing Date 28/06/2005
Payment Frequency Other
Maturity Date 28/06/2015
Interest Payment Date 28/06/2005
Coupon Rate 0
Currency EUR
Amount Listed 200,000
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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