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ORDINARY CAPITAL - CURRENCY POOLING SYSTEM ADJUSTABLE CONVERTED TO LIBOR BASED

Year

3m-Libor

Fixed Spread

IDB Lending Spread

Rate

2009 Q4

0.28%

1.43%

0.95%

2.66%

2009 Q3

0.51%

1.43%

0.95%

2.89%

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