Series 1999-1 Medallion Credit Linked Trust

Summary of Notes

Issue Date: 16th July 1999
Legal Maturity Date: 26th May 2004
Optional Redemption Date: 30 April 2004

Notes redeemed in full.
Issuance Volume: AUD 180,000,000
Distribution Date: 26th day of February, May, August, November
Business Day Convention: Following Business Day (Sydney)   
Security Type: Class A
Amount: USD 92,000,000
Coupon Details: CGS 09/2004 + 82bps 
Rating (S&P/Moody's): AAA/Aaa  
CUSIP: BCC02ZRR2
ISIN: AU000MC20017
Security Type: Class B
Amount: AUD 46,000,000 
Coupon Details: BBSW3M + 69bps  
Rating (S&P/Moody's): A/A2
CUSIP: BCC027ZRS0
ISIN: AU000MC20025
Security Type: Class C
Amount: AUD 21,000,000
Coupon Details: BBSW3M + 160bps 
Rating (S&P/Moody's): BBB-/Baa3
CUSIP: BCC02ZRT8
ISIN: AU000MC20033
Security Type: Class D
Amount: AUD 21,000,000
Coupon Details: BBSW3M + 360bps 
Rating (S&P/Moody's): BB/Ba3 
CUSIP: BCC02ZRU5
ISIN: AU000MC20041


Prospectus

N/A

Offering Circular

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Information Memorandum

5 July 1999

Servicer Certificates

May 2004 Feb 2004 Nov 2003 Aug 2003 May 2003 Feb 2003
Nov 2002  Aug 2002  May 2002  Feb 2002  Nov 2001  Aug 2001 
May 2001  Feb 2001  Nov 2000  Aug 2000  May 2000  Feb 2000 
Nov 1999  Aug 1999 



  

Investor Reports

Feb 2004 Nov 2003 Aug 2003 May 2003 Feb 2003 Nov 2002
Aug 2002 May 2002 Feb 2002 Nov 2001 Aug 2001 May 2001
Feb 2001 Nov 2000 Aug 2000 May 2000 Feb 2000 Nov 1999
Aug 1999





CPR Analysis

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Delinquency Analysis

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