Fixing of coupon rates effective from 1 October 2016
Effective from 1 October 2016, the coupon rates of floating-rate bonds issued by Nykredit Realkredit A/S will be adjusted.
Bonds with quarterly interest rate fixing The new coupon rates will apply from 1 October 2016 to 31 December 2016:
Capped bonds
Bonds with 6% cap DK0009765554, (67D), maturity in 2018, new rate as at 1 October 2016: 0.0000% pa DK0009771602, (21E), maturity in 2018, new rate as at 1 October 2016: 0.0000% pa LU0923988892, (67D), maturity in 2018, new rate as at 1 October 2016: 0.0000% pa LU0923995913, (21E), maturity in 2018, new rate as at 1 October 2016: 0.0000% pa
Uncapped bonds
DK0009507428, (22H), maturity in 2018, new rate as at 1 October 2016: 0.4080% pa DK0009510802, (22H), maturity in 2018, new rate as at 1 October 2016: 0.0280% pa DK0009789067, (70D), maturity in 2017, new rate as at 1 October 2016: 1.9600% pa DK0009790826, (70D), maturity in 2018, new rate as at 1 October 2016: 1.9600% pa DK0009794141, (31H), maturity in 2017, new rate as at 1 October 2016: 0.0000% pa LU0690049464, (21H), maturity in 2017, new rate as at 1 October 2016: 0.3480% pa LU0841798415, (21H), maturity in 2018, new rate as at 1 October 2016: 0.1680% pa
Questions may be directed to Henrik Hjortshøj-Nielsen, Executive Vice President, Group Treasury, tel +45 44 55 10 40, or Jens Theil, Head of Press Relations, tel +45 44 55 14 50.
Attachment:
https://cns.omxgroup.com/cds/DisclosureAttachmentServlet?messageAttachmentId=587280
Effective from 1 October 2016, the coupon rates of floating-rate bonds issued by Nykredit Realkredit A/S will be adjusted.
Bonds with quarterly interest rate fixing The new coupon rates will apply from 1 October 2016 to 31 December 2016:
Capped bonds
Bonds with 6% cap DK0009765554, (67D), maturity in 2018, new rate as at 1 October 2016: 0.0000% pa DK0009771602, (21E), maturity in 2018, new rate as at 1 October 2016: 0.0000% pa LU0923988892, (67D), maturity in 2018, new rate as at 1 October 2016: 0.0000% pa LU0923995913, (21E), maturity in 2018, new rate as at 1 October 2016: 0.0000% pa
Uncapped bonds
DK0009507428, (22H), maturity in 2018, new rate as at 1 October 2016: 0.4080% pa DK0009510802, (22H), maturity in 2018, new rate as at 1 October 2016: 0.0280% pa DK0009789067, (70D), maturity in 2017, new rate as at 1 October 2016: 1.9600% pa DK0009790826, (70D), maturity in 2018, new rate as at 1 October 2016: 1.9600% pa DK0009794141, (31H), maturity in 2017, new rate as at 1 October 2016: 0.0000% pa LU0690049464, (21H), maturity in 2017, new rate as at 1 October 2016: 0.3480% pa LU0841798415, (21H), maturity in 2018, new rate as at 1 October 2016: 0.1680% pa
Questions may be directed to Henrik Hjortshøj-Nielsen, Executive Vice President, Group Treasury, tel +45 44 55 10 40, or Jens Theil, Head of Press Relations, tel +45 44 55 14 50.
Attachment:
https://cns.omxgroup.com/cds/DisclosureAttachmentServlet?messageAttachmentId=587280