Corporate Debt security Details

FTI UK Holdings Limited

Description GBP70,000,000 8% Notes due 2 October 2022
Series
Coupon Fixed 
Coupon Frequency Annual
Maturity Date 02 Oct 2022
Issue Date 10 Feb 2008
Currency GBP
Listed Amount Outstanding 70,000,000
Minimum Denomination 1,000,000
1st Interest Payment Date 10 Feb 2008
Listing Type Primary Listing on CSX