Obligation IBRD-Global 0% ( XS0134724169 ) en USD

Société émettrice IBRD-Global
Prix sur le marché 100 %  ▲ 
Pays  Etats-unis
Code ISIN  XS0134724169 ( en USD )
Coupon 0%
Echéance 07/09/2021 - Obligation échue



Prospectus brochure de l'obligation IBRD XS0134724169 en USD 0%, échue


Montant Minimal /
Montant de l'émission 75 000 000 USD
Description détaillée La Banque internationale pour la reconstruction et le développement (IBRD), membre du Groupe de la Banque mondiale, fournit des prêts et des services consultatifs aux pays à revenu intermédiaire et à revenu faible pour soutenir leur développement économique.

L'obligation XS0134724169 émise par la Banque internationale pour la reconstruction et le développement (IBRD) aux États-Unis, d'un montant total de 75 000 000 USD, à un taux d'intérêt de 0%, échéant le 07/09/2021 et payant des coupons deux fois par an, a atteint sa maturité et a été intégralement remboursée à un prix de marché de 100%.







PRICING SUPPLEMENT


INTERNATIONAL BANK FOR RECONSTRUCTION AND
DEVELOPMENT

Global Debt Issuance Facility
No. 459
US$75,000,000
Callable Zero Coupon Notes due September 7, 2021



Credit Suisse First Boston

The date of this Pricing Supplement is September 5, 2001







This document ("Pricing Supplement") is issued to give details of an issue by International Bank
for Reconstruction and Development (the "Bank") under its Global Debt Issuance Facility.
This Pricing Supplement supplements the terms and conditions in, and incorporates by reference,
the Prospectus dated October 7, 1997, and all documents incorporated by reference therein (the
"Prospectus"), and should be read in conjunction with the Prospectus. Unless otherwise defined
in this Pricing Supplement, terms used herein have the same meaning as in the Prospectus.
Terms and Conditions
The following items under this heading "Terms and Conditions" are the particular terms which
relate to the issue the subject of this Pricing Supplement. These are the only terms, which form
part of the form of Notes for such issue:-
1
No.:
459

Aggregate Principal Amount:
US$75,000,000

Issue Price:
26.8272 per cent. of the Aggregate Principal
Amount

Issue (Settlement) Date:
September 7, 2001

Form of Notes (Condition 1(a)):
Bearer Notes only

Authorized Denominations
US$100,000
(Condition 1(b)):

Specified Currency (Condition 1(d)):
United States dollars ("US$")

Maturity Date (Conditions 1(a) and 6(a)):
September 7, 2021

Interest Basis (Condition 5):
Zero Coupon (Condition 5(IV))

Interest Commencement Date:
Not applicable

Zero Coupon

(Conditions 5(IV) and 6(c)):

(a)
Amortization Yield:
6.80 per cent.
(b)
Reference Price:
26.8272 per cent. of the principal amount of the
Note to be redeemed
(c)
Basis:
Compounded at annual intervals
(d)
Fixed Rate Day Count Fraction(s) 30/360
if not 30/360 basis:

Relevant Financial Centre:
New York

Relevant Business Day:
London and New York

Issuer's Optional Redemption
Yes
(Condition 6(e)):






(e)
Notice Period:
Not less than 10 Relevant Business Days
(f)
Amount:
All and not less than all
(g)
Date(s):
September 7, 2006, September 7, 2011 and

September 7, 2016
(h)
Early Redemption Amount (Bank): Notwithstanding Condition 6(c)(i), 37.2762 per
cent. of the principal amount of the Notes to be
redeemed in respect of an early redemption
occurring on September 7, 2006, 51.7950 per
cent. of the principal amount of the Notes to be
redeemed in respect of an early redemption
occurring on September 7, 2011 and 71.9688 per
cent. of the principal amount of the Notes to be
redeemed in respect of an early redemption
occurring on September 7, 2016
(i)
Notices:
So long as Bearer Notes are represented by a
Permanent Global Note and the Permanent
Global Note is held on behalf of a clearing system,
notwithstanding Condition 13, notices to
Noteholders may be given by delivery of the
relevant notice to that clearing system for
communication by it to entitled account holders.
Any notice delivered to a clearing system in
accordance with the preceding sentence shall be
deemed to have been given to the Noteholders on
the day on which such notice is delivered to the
clearing system.

Redemption at the option of the

Noteholders (Condition 6(f)):
No

Long Maturity Note (Condition 7(f)):
No

Talons for Future Coupons to be attached
to Definitive Bearer Notes (Condition

7(h)):
No

Prescription (Condition 8):

(j)
Principal:
10 years
(k)
Interest:
Not applicable

Early Redemption Amount (including
accrued interest, if applicable) (Condition
9):
As provided in Condition 6(c)(iii)

Governing Law of the Notes:
English





Other Relevant Terms
Listing (if yes, specify Stock Exchange):
Yes - Luxembourg Stock Exchange

Details of Clearance System approved by Clearstream Banking, société anonyme and
the Bank and the Global Agent and Euroclear Bank S.A./N.V. as operator of the
Clearance and Settlement Procedures:
Euroclear System. Payment for the Notes will be
on a delivery versus payment basis

Syndicated:
No

Commissions and Concessions:
None

Codes:

(l)
Common Code:
013472416
(m)
ISIN:
XS0134724169


Identity of Dealer(s)/Manager(s):
Credit Suisse First Boston (Europe) Limited

Provisions for Bearer Notes:

(n)
Exchange Date:
Not earlier than October 18, 2001
(o)
Permanent Global Note:
Yes
(p)
Definitive Bearer Notes:
No
General Information

The Bank's latest Information Statement was issued on September 15, 2000
The following additional selling restrictions shall apply to the issue:-
United Kingdom:
Each Dealer is required to comply with all
applicable provisions of the Financial Services Act
1986 with respect to anything done by it in relation
to the Notes in, from or otherwise involving the
United Kingdom.

INTERNATIONAL BANK FOR
RECONSTRUCTION AND DEVELOPMENT
By:
Authorized Officer




INTERNATIONAL BANK FOR
RECONSTRUCTION AND DEVELOPMENT
1818 H Street, NW
Washington, D.C. 20 433

GLOBAL AGENT
Citibank, N.A.
P.O. Box 18055
5 Carmelite Street
London EC4Y 0PA

LISTING AND SPECIAL AGENT
AND PAYING AGENT
BNP Paribas Luxembourg
10A Boulevard Royal
L-2093 Luxembourg

LEGAL ADVISERS TO THE MANAGER
Linklaters & Alliance
Linklaters
O ne Silk Street
London EC2Y 8HQ