424B3 1 notes08-063003.htm Converted by FileMerlin

International Lease Finance Corporation

With Maturities of 9 Months or More from Date of Issue

         
         

Registration No.

333-100340

      

Filed Pursuant to Rule

424 (b) (3)

      

Pricing Supplement No.

8

      

(To Prospectus dated April 15, 2003 and Prospectus Supplement dated April 15, 2003)

  

The date of this Pricing Supplement is

June 30, 2003

     

Trade Date:

06/30/03

 

Issue Date:

07/03/03

    
         

CUSIP Number

Stated Interest Rate per Annum

Maturity Date

Interest Payment Frequency

First Interest Payment Date

Subject to Redemption

Redemption Date and Terms

45974EAV8

2.75%

09/15/07

Monthly

08/15/03

No

N/A

45974EAW6

3.15%

09/15/08

Monthly

08/15/03

No

N/A

45974EAX4

3.50%

09/15/09

Quarterly

09/15/03

No

N/A

      

[Additional columns below]

         

[Continued from above, first column repeated]

     

CUSIP Number

Aggregate Principal Amount

Price to Public

Discounts and Commissions

Net Proceeds to Issuer

Maximum Reallowance

Survivor*s Option

OID Note

Other Material Terms

45974EAV8

$4,795,000

100%

1.00%

$4,747,050.00

$1.50

Yes

No

N/A

45974EAW6

$4,601,000

100%

1.075%

$4,551,539.25

$1.50

Yes

No

N/A

45974EAX4

$4,171,000

100%

1.15%

$4,123,033.50

$1.75

Yes

No

N/A

All notes described in this Pricing Supplement are issued in U.S. Dollars with Authorized Denominations of $1,000 and integral multiples thereof.