FRN Variable Rate Fix

Barclays Bank PLC Issue: Barclays Bank PLC GBP 15,000,000,000 Debt Issuance Programme, Series 143, Tranche 1 FRN due January 2023 ISIN Code: XS0183122398 Interest Rate: 2.49200% Base Rate: 2.14200% Interest Period: 23rd December 2003 to 23 March 2004 Calculation Basis: Actual/360 Days in Period: 91 Interest Payment Date: 23rd March 2004 Rate per EUR 10,000: EUR 62.99

Companies

Barclays (BARC)
UK 100