Factsheet of Floating Rate USD Note 9/2010

Factsheet of Floating Rate USD Note 9/2010
Issuer:ICI Ltd.
Listing:London Stock Exchange
ISIN Code:XS0117286772
Volume:$10 million
Minimum investment:$100,000
Coupon:3 month USD LIBOR BBA +0.95 per cent
Coupon payment:8 March, 8 June, 8 September and 8 December in each year, commencing 8 December 2000 up to, and including, the Maturity Date
Term:10 years
Maturity:September 8, 2010

For more details, see also the prospectus attached below.