Net Asset Value • Oct 17, 2018
Net Asset Value
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National Storage Mechanism | Additional information
FRN Variable Rate Fix
Commonwealth Bank of Australia
Issue of GBP 150,000,000 Floating Rate Notes
due July 2019 Series 6321 Tranche 1 MTN
ISSUE NAME.
Our Ref. ML4159
ISIN Code. XS1856096000
INTEREST AMT PER DENOM.
CURRENCY CODE. GBP
DAY BASIS. ACTUAL/365 FIXED (A005)
NUM OF DAYS. 92
INTEREST RATE. 0.96025 PCT
VALUE DATE. 16/01/2019
INTEREST PERIOD. 16/10/2018 TO 16/01/2019
GBP 100,000.00 IS GBP 0
POOL FACTOR. N/A
Citibank
View source version on businesswire.com: https://www.businesswire.com/news/home/20181017005364/en/
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