|Price||+/-||Var %||Volume||Last close|
|121.22||-0.96||-0.79%||-||121.22 on 17-May-2013|
|Country of share register||GB|
|MiFID Status||Regulated Market|
|Exchange market size||40,000|
|Issue Date||27 May 2005|
|Maturity Date||07 Dec 2055|
|Coupon Frequency||6 months|
|Coupon Payment Date||07 Jun 2013|
|Coupon Ex Date||29 May 2013|
|Redemption Date||07 Dec 2055|
|Redemption Type||single redemption date|
|Index Inflation Date|
|Code Convention Calculate||GILTS ACT/ACT|
|Unit Of Quotation||100|
|Trading Service||Order book for retail bonds|
|Trading Hours||Auction 7:50am - 8:00am, Continuous Trading 8:00am to 4:30pm|
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