Net Asset Value • Dec 29, 2025
Net Asset Value
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National Storage Mechanism | Additional information
FRN Variable Rate Fix
ISIN Code. XS3246230604
Our Ref. MV1738
ISSUE NAME.
ASB BANK LIMITED
Issue of GBP 150,000,000.00
Floating Rate Senior Unsecured Medium Term Notes
Due 2027 Series No 6713 Tranche 1 MTN
INTEREST PERIOD. 04/12/2025 TO 05/01/2026
VALUE DATE. 05/01/2026
INTEREST RATE. 4.345 PCT
NUM OF DAYS. 32
DAY BASIS. ACTUAL/365 FIXED (A005)
CURRENCY CODE. GBP
TOTAL INTEREST AMT.
GBP 571,397.26
POOL FACTOR. N/A
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Deutsche Bank
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