Brazil - FLRIB - Terms
Article Index
Page 2 of 3
Issuer: | Republica Federativa do Brasil |
Guarantor: | None |
Issue Size: | USD 1,737,009,000 |
Maturity: | April 15, 2009 |
Interest Rate: | 4%...............................to April 96 4 1/2%.........................to April 98 5%...............................to April 00 thereafter......................6-month LIBOR plus 13/16% |
Coupon Frequency: | Semi-annual |
Coupon Dates: | April 15 & October 15 |
Day Count: | 30/360 |
Issue Date: | April 15, 1994 |
Amortisation: | Repayable in 13 equal semi-annual installments beginning April 15, 2003. |
Options: | Callable at par plus accrued interest on coupon dates if no default |
Currency: | US Dollar |
Form: | Bearer and registered securities |
Denominations: | $250,000 and integral multiples of $1,000 |
Credit Rating: | not rated |
Principal Collateral: | None |
Interest Payment Collateral: | 12 month rolling interest payment guarantee for the first six years only secured by US agency or similar securities. |