Obligation IBRD-Global 0% ( XS0174308667 ) en USD

Société émettrice IBRD-Global
Prix sur le marché refresh price now   100 %  ⇌ 
Pays  Etats-unis
Code ISIN  XS0174308667 ( en USD )
Coupon 0%
Echéance 15/08/2033



Prospectus brochure de l'obligation IBRD XS0174308667 en USD 0%, échéance 15/08/2033


Montant Minimal /
Montant de l'émission 248 380 000 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 émise par IBRD-Global ( Etats-unis ) , en USD, avec le code ISIN XS0174308667, paye un coupon de 0% par an.
Le paiement des coupons est semestriel et la maturité de l'Obligation est le 15/08/2033










PRICING SUPPLEMENT



INTERNATIONAL BANK FOR RECONSTRUCTION AND
DEVELOPMENT

Global Debt Issuance Facility
No. 2642
US$30,000,000
Callable 7.30 per cent. Single Coupon Notes due August 15, 2033



Morgan Stanley

The date of this Pricing Supplement is August 12, 2003





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.:
2642
2
Aggregate Principal Amount:
US$30,000,000
3
Issue Price:
100.00 per cent. of the Aggregate Principal
Amount
4
Issue Date:
August 15, 2003
5
Form of Notes (Condition 1(a)):
Bearer Notes only
6
Authorized Denominations
US$100,000
(Condition 1(b)):
7
Specified Currency (Condition 1(d)):
United States dollars ("US$")
8
Maturity Date (Conditions 1(a) and 6(a)):
August 15, 2033
9
Interest Basis (Condition 5):
Fixed Interest Rate (Condition 5(I))
10
Fixed Interest Rate (Condition 5(I)):

(a)
Interest Rate:
7.30 per cent. per annum compounded
annually
(b)
Fixed Rate Interest Payment August 15, 2033
Dates:
(c)
Fixed Rate Day Count Fraction:
30/360, as provided in Condition 5(I)(b)
11
Relevant Financial Centre:
New York
12
Relevant Business Day:
New York and London
13
Redemption Amount (if other than
The total amount payable on the Maturity
Principal Amount) (Condition 6(a)):
Date shall be 100.00 per cent. of the
Principal Amount of the Notes, plus accrued
interest of 727.92626 per cent. of such
Principal Amount
14
Issuer's Optional Redemption
Yes
(Condition 6(e)):
2642
1



(a)
Notice Period:
Not less than 10 Relevant Business Days
(b)
Amount:
All and not less than all
(c)
Date(s):
Each August 15, commencing on and
including August 15 , 2005 and ending on
August 15, 2032
(d)
Early Redemption Amount (Bank):
100.00 per cent. of the Principal Amount of
the Notes to be redeemed plus accrued
interest to but excluding the date fixed for
redemption calculated at the fixed rate of
7.30 per cent. per annum compounded
annually in accordance with the following
schedule:

Issuer's Optional
Accrued Interest
Redemption Date
(per cent.)
August 15, 2005
15.13290
August 15, 2006
23.53760
August 15, 2007
32.55585
August 15, 2008
42.23242
August 15, 2009
52.61539
August 15, 2010
63.75631
August 15, 2011
75.71052
August 15, 2012
88.53739
August 15, 2013
102.30062
August 15, 2014
117.06857
August 15, 2015
132.91457
August 15, 2016
149.91734
August 15, 2017
168.16130
August 15, 2018
187.73708
August 15, 2019
208.74189
August 15, 2020
231.28004
August 15, 2021
255.46349
August 15, 2022
281.41232
August 15, 2023
309.25542
August 15, 2024
339.13107
2642
2



August 15, 2025
371.18763
August 15, 2026
405.58433
August 15, 2027
442.49199
August 15, 2028
482.09390
August 15, 2029
524.58676
August 15, 2030
570.18159
August 15, 2031
619.10485
August 15, 2032
671.59950
15
Redemption at the option of the
No
Noteholders (Condition 6(f)):
16
Long Maturity Note (Condition 7(f)):
No
17
Talons for Future Coupons to be attached
No
to Definitive Bearer Notes (Condition
7(h)):
18
Early Redemption Amount (including 100 per cent. of the principal amount of the
accrued interest, if applicable) (Condition Notes to be redeemed plus accrued interest
9):
to but excluding the date of redemption
calculated at the fixed rate of 7.30 per cent.
per annum compounded annually.
19
Governing Law of the Notes:
English
Other Relevant Terms

1
Listing (if yes, specify Stock Exchange Luxembourg Stock Exchange
Exchange):
2
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
3
Syndicated:
No
4
Commissions and Concessions:
None
5
Codes:

(a)
ISIN
XS0174308667
(b)
Common Code
017430866
6
Identity of Dealer(s)/Manager(s):
Morgan Stanley & Co. International Limited
7
Provisions for Bearer Notes:

(a)
Exchange Date:
Not earlier than 24 September 2003
(b)
Permanent Global Note:
Yes
2642
3



(c)
Definitive Bearer Notes:
No
General Information

The Bank's latest Information Statement was issued on September 17, 2002.
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
and Markets Act 2000 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:
Authorised Officer

2642
4



INTERNATIONAL BANK FOR
RECONSTRUCTION AND DEVELOPMENT
1818 H Street, NW
Washington, D.C. 20433

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

LISTING AND SPECIAL AGENT
AND PAYING AGENT
BNP Paribas Securities Services
23, Avenue de la Porte-Neuve
L-2085 Luxembourg

LEGAL ADVISERS TO THE MANAGER

Linklaters
One Silk Street
London EC2Y 8HQ



2642
5