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PISTI 2010-1 PLC - EUR 602 400 000 Series 2010-1 Class A Asset Backed Fixed Rate Notes due February 2021
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PISTI 2010-1 PLC 2
EUR 602 400 000 Series 2010-1 Class A Asset Backed Fixed Rate Notes due February 2021
ISIN XS0488712679
SEDOL B61NK21
Series EUR 602 400 000 Series 2010-1 Class A Asset Backed Fixed Rate Notes due February 2021
Status Listed
Listing Date 25/02/2010
Payment Frequency Monthly
Maturity Date 24/02/2021
Interest Payment Date 26/04/2010
Coupon Rate 2.5
Currency EUR
Amount Listed 602,400,000
Market Type MSM
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