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XS0276299541
| Amount issued | EUR 1,000,000,000 |
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| Outstanding Amount | EUR 3,000,000,000 |
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| Coupon | 3.75 % |
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| Coupon type | Fix |
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| Maturity Date | 24/11/2010 |
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| Type of market | International |
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| Launch price | 97.409 % |
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| Launch date | 22/06/2008 |
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| Place(s) of listing | Luxembourg |
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| Lead manager(s) | JP Morgan |
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