RNS No 833d
MITSUI & CO UK PLC


ISIN: XS0101276532            FROM: 08/09/99

9) JPY1,000,000,000 FIXED TO FLOATING RATE CALLABLE NOTES DUE 07/09/2006

FULLY PAID                    YIELD: 30/360

(Represented by Notes to Bearer of JPY100,000,000 each)

Issue Price:        100.20%

Issuer:             CITIBANK NA

A copy of the above is available for inspection from the Company
Announcements office of the Stock Exchange, London.

END

PS ABAVKKVKKRAR


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