|
December 15, 2008 - January 14, 2009 |
Repayment Period |
Ex-Im Bank
Lending Rate |
CIRR Rate |
Up to 10 semiannuals |
3-year Treasury
Rate + 1% |
2.51% |
Over 10 up to 17
semiannuals |
5-year Treasury
Rate + 1% |
3.29% |
Over 17 semiannuals |
7-year Treasury
Rate + 1% |
3.82% |
|
|