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					13 September 2004

                                               TESCO   PLC

                                                Issue of
                       JPY2,000,000,000 Fixed Rate Notes due 13 September 2011
                                               under the
                                 £10,000,000,000 E u r o Note Programme

This document constitutes the Pricing Supplement relating to the issue of Notes described herein.

Terms used herein shall be deemed to be defined as such for the purposes of the Conditions set forth i n
the Offering Circular dated 2 4 t h August 2004. This Pricing Supplement contains the final terms of the
Notes and must be read in conjunction with such Offering Circular.


1.     Series Number:                                   42

2.     Specified Currency or Currencies:                Japanese Y e n ("JPY")

3.     Aggregate Nominal Amount:                        JPY2,000,000,000

4.     (i)        Issue Price:                          100.00 per cent of the Aggregate Nominal
                                                        Amount

       (ii)       Net proceeds:                         JPY1,994,140,000

5.     Specified           Denomination(s)):      JPY100,000,000.           The Notes may not be
                                                       subdivided or        reissued in a smaller
                                                       denomination.

6.     Issue Date and Interest Commencement Date:       13 September 2004

7.     Maturity                    Date:                13 September 2011

8.     Interest Basis:                                  Fixed Rate
                                                        (further particulars specified below)

9.     Redemption/Payment Basis:                        Redemption at par

10.    Change of Interest Basis or Redemption/          Not Applicable
       Payment Basis:

11.    Put/Call Options:                                Not Applicable

12.    Listing:                                         London

13.    Method of distribution:                          Non-syndicated
P R O V I S I O N S R E L A T I N G T O I N T E R E S T (IF A N Y ) P A Y A B L E

14.     Fixed Rate Note                 Provisions               Applicable

        (i)      Rate of Interest:                               1.45 per cent. per annum payable semi-
                                                                 annually in arrear

        (ii)     Interest Payment Date(s):                       13 March and 13 September in each year from
                                                                 and including 13 March 2005 to and including
                                                                 the Maturity Date

        (iii)    Fixed Coupon Amount:                            JPY725,000 perJ P Y 1 0 0 , 0 0 0 , 0 0 0in nominal

                                                                 amount

        (iv)     Broken Amount(s):                               Not Applicable

        (v)      Fixed Day Count Fraction:                       30E/360 unadjusted

        (vi)     Determination               Date(s):            Not Applicable
        (vii)    Other terms relating to the method o f          Not Applicable
                 calculating interest for Fixed Rate
                 Notes:

15.    Floating Rate Note Provisions                             Not Applicable

16.     Zero Coupon Note Provisions                              Not Applicable

17.    Index Linked Interest Note Provisions                     Not Applicable

18.    Dual Currency Interest Note Provisions                   Not Applicable

PROVISIONS R E L A T I N G T O R E D E M P T I O N

19.    Issuer Call                                              Not Applicable

20.    Investor Put                                             Not Applicable

21.    Final Redemption Amount of each Note                      Far

22.    Early Redemption Amount(s) o f each          Note         Par
       payable on redemption for taxation reasons or
       on event of default and/or the method of
       calculating the same (if required or i f different
       from that set out i n Condition 6(e)):

G E N E R A L PROVISIONS A P P L I C A B L E T O T H E NOTES

23.    Form of Notes:                                           Temporary Global Note exchangeable for a
                                                        Permanent Global Note which is exchangeable
                                                        for Definitive Notes only upon an Exchange
                                                        Event

24.   Additional Financial Centre(s) or other special   London and Tokyo
      provisions relating to Payment Dates:

25.   Talons for future Coupons or Receipts to be       No
      attached to Definitive Notes (and dates on

      which such Talons mature):

26.   Details relating to Partly Paid Notes:            Not Applicable

27.   Details relating to Instalment Notes:             Not Applicable
28.   Redenomination:                                   Redenomination not applicable

29.   Other terms or special conditions:                Selling Commission: 0.293% of the Aggregate

                                                        Nominal Amount

DISTRIBUTION

30.   (i)      If syndicated, names of Manageres:       Not Applicable

      (ii)   Stabilising   Manager (if any):            Not Applicable

31.   If non-syndicated, name of relevant Dealer:       Citigroup Global Markets Limited

32.   Additional selling restrictions:                  Not Applicable

OPERATIONAL INFORMATION
33.   Any clearing system(s) other than Euroclear       Not Applicable
      and Clearstream, Luxembourg and the
      relevant identification number(s):

34.   Delivery:                                         Delivery against payment

35.   Additional Paying Agent(s) (if any):              Not Applicable



      ISIN:                                    XS0199917252
      Common Code:                             019991725




LISTING APPLICATION
This Pricing Supplement comprises the terms required to list the issue o f Notes described herein pursuant
to the £10,000,000,000 Euro Note Programme of Tesco P L C .

RESPONSIBELITY

The Issuer accepts responsibility for the information contained in this Pricing Supplement.


Signed on behalf o f the Issuer:




By:
        Duly Authorised




                                                                                                  TOTAL P.06

				
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