Interest Rate Update/Notice • Sep 1, 2025
Interest Rate Update/Notice
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National Storage Mechanism | Additional information
FRN Variable Rate Fix
| As Agent Bank, please be advised of the following rate determined on: 9/1/2025 | |||||
| Issue | ¦ Lloyds Bank plc- Series 2021-2 GBP 1,750,000,000 FRN Due August 2029 | ||||
| ISIN Number | ¦ XS2367214777 | ||||
| ISIN Reference | ¦ 236721477 | ||||
| Issue Nomin GBP | ¦ 1750000000 | ||||
| Period | ¦ 8/8/2025 to 9/8/2025 | ||||
| Number of Days | ¦ 31 | ||||
| Rate | ¦ 4.34194 | ||||
| Denomination GBP | ¦ 1000 | ¦ 1750000000 | |||
| Amount Payable per Denomination | ¦ 3.69 | ¦ 6453431.37 | |||
| Bank of New York | |||||
| Rate Fix Desk | Telephone | ||||
| Corporate Trust Services | Facsimile |
View source version on businesswire.com: https://www.businesswire.com/news/home/20250901336571/en/
Bank of New York Mellon
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