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Bank of America's Countrywide Ordered to Pay $1.3B
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54AA: Deutsche Bank AG: FRN Variable Rate Fix

  54AA: Deutsche Bank AG: FRN Variable Rate Fix  UK Regulatory Announcement  LONDON  Pohjola Bank Plc  Issue of EUR 10,000,000 Floating Rate Instruments  due 20 Sep 2018 Series 160 Tranche 1  MTN  ISSUE NAME.  Our Ref. MH3735  ISIN Code. XS0971723159  INTEREST AMT PER DENOM.  CURRENCY CODE. EUR  DAY BASIS. Actual/360 (A004)  NUM OF DAYS. 92  INTEREST RATE. 0.699 PCT  VALUE DATE. 20/06/2014  INTEREST PERIOD. 20/03/2014 TO 20/06/2014  EUR 100,000.00 IS EUR 178.63  POOL FACTOR. N/A  Contact:  Deutsche Bank AG