Issuer: Republica Federativa do Brasil
Guarantor: None
Issue Size: USD 1,000,000,000
Maturity: September 15, 2013
Interest Rate: 6% Fixed
Coupon Frequency: Semi-annual
Coupon Dates: March 15 & September 15
Day Count: Actual/360
Issue Date: August 31, 1989
Amortisation: Repayable in 30 equal semi-annual installments beginning September 15, 1999
Options: Non-call for life
Currency: US Dollar only
Form: Bearer securities
Denominations: $250,000 and integral multiples thereof
Credit Rating: Not rated
Principal Collateral: None
Interest Payment Collateral: None