Ecuador - Interest Equalisation Bonds
Ecuador - Interest Equalisation Bonds (IEB)
Interest Equalisation Bonds issued under the Brady Plan restructuring agreement in Registered and Bearer securities form
Issuer: |
The Republic of Ecuador |
Guarantor: |
None |
Issue Size: |
USD 191,000,000 |
Maturity: |
December 21, 2004 |
Interest Rate: |
6-month LIBOR plus 13/16% |
Coupon Frequency: |
Semi-annual |
Coupon Dates: |
June 21 & December 21 |
Day Count: |
Actual/360 |
Issue Date: |
December 21, 1994 |
Amortisation: |
Repayable in 20 equal semi-annual installments beginning June 21, 1995
Installments 1 to 8: ..........................2 1/2% of principal Installments 9 to 14: ........................5% of principal Installment 15 to 20: ........................8.33% of principal
|
Options: |
Callable at par with accrued interest on coupon dates if no default. |
Currency: |
US Dollar only |
Form: |
Bearer and registered securities |
Denominations: |
$250,000 and integral multiples thereof |
Credit Rating: |
not rated |
Principal Collateral: |
None |
Interest Payment Collateral: |
None |
Bearer Bonds
Listing: |
Luxembourg |
Bloomberg Ticker: |
ECUA |
CUSIP: |
TT3183478 |
ISIN: |
XS0054730980 |
Common Code: |
005473098 |
Wertpapier: |
127350 |
Registered Bonds
CUSIP: |
TT3208382 |
ISIN: |
XS0054918353 |
Common: |
005491835 |