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SANTANDER UK PLC

Net Asset Value Aug 21, 2019

4587_rns_2019-08-21_98158d60-d67d-485d-b482-59815b5330cd.html

Net Asset Value

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National Storage Mechanism | Additional information

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FRN Variable Rate Fix

Santander UK PLC

Series 66 GBP 1,000,000,000.00

Floating Rate Covered Bonds due 16 November 2022

Under EUR 35 billion Global Covered Bond Programme

ISSUE NAME.

Our Ref. MK9730

ISIN Code. XS1719070390

TOTAL INTEREST AMT.

CURRENCY CODE. GBP

DAY BASIS. ACTUAL/365 FIXED (A005)

NUM OF DAYS. 94

INTEREST RATE. 0.9955 PCT

VALUE DATE. 18/11/2019

INTEREST PERIOD. 16/08/2019 TO 18/11/2019

GBP 2,563,753.42

POOL FACTOR. N/A

Deutsche Bank AG

View source version on businesswire.com: https://www.businesswire.com/news/home/20190821005625/en/

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