|
|
The
Group
2004
£m |
The
Group
2003
£m |
The
Company
2004
£m |
The
Company
2003
£m |
Bonds and notes |
1,008 |
1,183 |
805 |
830 |
Other debt securities in issue |
120 |
167 |
120 |
167 |
|
1,128 |
1,350 |
925 |
997 |
|
Bonds and notes |
The
Group
2004
£m |
The
Group
2003
£m |
The
Company
2004
£m |
The
Company
2003
£m |
Fixed rate (guaranteed) |
|
|
|
|
3i International BV 7.75% – matured 2003 |
– |
150 |
|
|
Total fixed rate |
– |
150 |
– |
– |
Variable rate |
|
|
|
|
Unsecured loan notes |
|
|
|
|
Various maturities – 2007-2010 |
2 |
2 |
1 |
1 |
Total variable rate |
2 |
2 |
1 |
1 |
|
Notes issued under the £2,000 million Note
Issuance Programme |
The
Group
2004
£m |
The
Group
2003
£m |
The
Company
2004
£m |
The
Company
2003
£m |
Fixed rate |
|
|
|
|
Public issues |
|
|
|
|
3i Group plc 6.875% – matures 2007 |
200 |
200 |
200 |
200 |
3i Group plc 6.875% – matures 2023 |
200 |
200 |
200 |
200 |
3i Group plc 5.750% – matures 2032 |
400 |
400 |
400 |
400 |
Private placings |
2 |
22 |
– |
20 |
Total fixed rate |
802 |
822 |
800 |
820 |
Variable rate |
|
|
|
|
Public issues |
|
|
|
|
3i Holdings plc – matures 2007 |
200 |
200 |
|
|
Private placings |
4 |
9 |
4 |
9 |
Total variable rate |
204 |
209 |
4 |
9 |
|
|
|
|
|
Total bonds and notes |
1,008 |
1,183 |
805 |
830 |
|
Maturity of bonds and notes |
The
Group
2004
£m |
The
Group
2003
£m |
The
Company
2004
£m |
The
Company
2003
£m |
Repayable: |
|
|
|
|
on demand or within one year |
2 |
175 |
– |
25 |
between one year and two years |
4 |
2 |
4 |
– |
between two years and five years |
401 |
405 |
201 |
205 |
after five years |
601 |
601 |
600 |
600 |
|
1,008 |
1,183 |
805 |
830 |
|
Other debt securities in issue |
The
Group
2004
£m |
The
Group
2003
£m |
The
Company
2004
£m |
The
Company
2003
£m |
European Investment Bank |
– |
22 |
– |
22 |
Other |
120 |
145 |
120 |
145 |
|
120 |
167 |
120 |
167 |
Maturity of other debt securities in issue |
|
|
|
|
Repayable: |
|
|
|
|
within three months |
106 |
115 |
106 |
115 |
between three months and one year |
11 |
42 |
11 |
42 |
between one year and two years |
1 |
5 |
1 |
5 |
between two years and five years |
2 |
5 |
2 |
5 |
|
120 |
167 |
120 |
167 |
|
The Group had the following committed multi-currency facilities
at 31 March 2004: |
Negotiated |
Facility |
Drawn |
Drawn
margin
(over
LIBOR) |
Undrawn
commitment
fee |
June 2001 (matures 21 June 2006) |
£360m |
£144m |
0.1750% |
0.0875% |
November 2003 (matures 29 October 2008) |
€595m |
£30m |
0.2000% |
0.1000% |
The drawn margin on the €595 million facility increases
to 0.225% if the drawn amount is between 33% and 66% of the facility, and
to 0.25% if the drawn amount is greater than 66% of the facility. |