It has been decided to admit the following structured bonds for trading and
official listing with effect from 22 August 2014:
ISIN Name Yearly nom Payments per Currency Maturity date interest year
DK00303443 NBF Kina 0.0% 1 DKK 21 August 2017 79 DK00303451 NBF 0.0% 1 DKK 21 August 2017 86 Brasilien DK00303452 NBF Indien 0.0% 1 DKK 21 August 2017 69 DK00303453 NBF Mexico 0.0% 1 DKK 21 August 2017 43 DK00303454 NBF 0.0% 1 DKK 21 August 2017 26 Tyrkiet
-------------------------------------------------------------------------------- - For further information please contact: Morten Østergaard, Surveillance, tlf: 33 93 33 66
Attachment:
https://newsclient.omxgroup.com/cds/DisclosureAttachmentServlet?messageAttachmentId=483962
ISIN Name Yearly nom Payments per Currency Maturity date interest year
DK00303443 NBF Kina 0.0% 1 DKK 21 August 2017 79 DK00303451 NBF 0.0% 1 DKK 21 August 2017 86 Brasilien DK00303452 NBF Indien 0.0% 1 DKK 21 August 2017 69 DK00303453 NBF Mexico 0.0% 1 DKK 21 August 2017 43 DK00303454 NBF 0.0% 1 DKK 21 August 2017 26 Tyrkiet
-------------------------------------------------------------------------------- - For further information please contact: Morten Østergaard, Surveillance, tlf: 33 93 33 66
Attachment:
https://newsclient.omxgroup.com/cds/DisclosureAttachmentServlet?messageAttachmentId=483962