Fennica No.5 PLC

Rate Fix Notification

Fennica No.5 PLC
18 May 2001


Fennica No.5 Plc

18 May 2001

Re: Rate Fix Notification

Fennica No.5 Plc - Class A1

EUR464,900,000 Floating Rate Asset-Backed Notes due 2054

ISIN NUMBER: XS0118907848

ISSUE NOMINAL EUR : 464,900,000.00

PERIOD: 21-May-2001 to 20-Nov-2001 Payment Date: 20-Nov-2001

NUMBER OF DAYS: 183

RATE: 4.727

DENOMINATION EUR: 100,000.00

AMOUNT PAYABLE

PER DENOMINATION: 2,402.89


Steven Coutts

Capital Markets Fiduciary Services

Chase Manhattan Bank

Telephone: 44(0) 1202 34 1286