FRN Variable Rate Fix

Barclays Bank PLC Issue Name: Barclays Bank plc EUR 100,000,000 Floating Rate Notes due 22nd March 2021 ISIN Code: XS0126504421 Interest Rate: 2.586000% Base Rate: 2.116000% Interest Period: 22-Jun-05 to 22-Sep-05 Day Count Method: Actual/360 Number of Days in Period: 92 Payment Date: 22-Sep-05 Denomination: Coupon: ---------------- ---------------- 10,000.00 EUR 66.09

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Barclays (BARC)
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UK 100

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