Anzeige
Mehr »
Freitag, 31.10.2025 - Börsentäglich über 12.000 News
Attestation ist die Killer-App - Republic baut sie jetzt!
Anzeige

Indizes

Kurs

%
News
24 h / 7 T
Aufrufe
7 Tage

Aktien

Kurs

%
News
24 h / 7 T
Aufrufe
7 Tage

Xetra-Orderbuch

Fonds

Kurs

%

Devisen

Kurs

%

Rohstoffe

Kurs

%

Themen

Kurs

%

Erweiterte Suche
GlobeNewswire
132 Leser
Artikel bewerten:
(0)

NASDAQ Iceland hf.: Landsbankinn hf. - Bank bill (LBANK 200528) admitted to trading on May 28, 2019

Issuer Information                                                          
1   Issuer                                                  Landsbankinn hf.    
--------------------------------------------------------------------------------
2   Org. no                                                 471008-0280         
--------------------------------------------------------------------------------
3   LEI                                                     549300TLPT6JELDWNM92
--------------------------------------------------------------------------------
                                                                                
    Issue Information                                                           
4   Short name                                              LBANK 200528        
--------------------------------------------------------------------------------
5   ISIN code                                               IS0000031235        
--------------------------------------------------------------------------------
6   CFI code                                                DYZUXR              
--------------------------------------------------------------------------------
7   FISN númer                                              LANDSBANKINN HF/ZERO
                                                             CPN 20200528       
--------------------------------------------------------------------------------
8   Bonds/bills                                             Bills               
--------------------------------------------------------------------------------
9   Total issued amount                                     800.000.000         
--------------------------------------------------------------------------------
10  Total amount previously issued                          0                   
--------------------------------------------------------------------------------
11  Amount issued at this time                              800.000.000         
--------------------------------------------------------------------------------
12  Denomination in CSD                                     20.000.000          
--------------------------------------------------------------------------------
13  Listed on Nasdaq Stock Exchange                         Yes                 
--------------------------------------------------------------------------------
                                                                                
    Amortization - Cash Flow                                                    
14  Amortization type                                       Bill                
--------------------------------------------------------------------------------
15  Amortization type, if other                                                 
--------------------------------------------------------------------------------
16  Currency                                                ISK                 
--------------------------------------------------------------------------------
17  Currency, if other                                                          
--------------------------------------------------------------------------------
18  Issue date                                              May 28, 2019        
--------------------------------------------------------------------------------
19  First ordinary installment date                         May 28, 2020        
--------------------------------------------------------------------------------
20  Total number of installments                            1                   
--------------------------------------------------------------------------------
21  Installment frequency                                   1                   
--------------------------------------------------------------------------------
22  Maturity date                                           May 28, 2020        
--------------------------------------------------------------------------------
23  Interest rate                                           N/A                 
--------------------------------------------------------------------------------
24  Floating interest rate, if applicable                                       
--------------------------------------------------------------------------------
25  Floating interest rate, if other                                            
--------------------------------------------------------------------------------
26  Premium                                                 N/A                 
--------------------------------------------------------------------------------
27  Simple/compound interest                                Simple Interest     
--------------------------------------------------------------------------------
28  Simple/compound, if other                                                   
--------------------------------------------------------------------------------
29  Day count convention                                    ACT/360             
--------------------------------------------------------------------------------
30  Day count convention, if other                                              
--------------------------------------------------------------------------------
31  Interest from date                                      N/A                 
--------------------------------------------------------------------------------
32  First ordinary coupon date                                                  
--------------------------------------------------------------------------------
33  Coupon frequency                                                            
--------------------------------------------------------------------------------
34  Total number of coupon payments                                             
--------------------------------------------------------------------------------
35  If irregular cash flow, then how                                            
--------------------------------------------------------------------------------
36  Dirty price / clean price                               Clean Price         
--------------------------------------------------------------------------------
37  If payment date is a bank holiday, does payment                             
     include accrued interest for days missing until next                       
     business day?                                                              
--------------------------------------------------------------------------------
                                                                                
                                                                                
                                                                                
    Indexing                                                                    
38  Indexed                                                 No                  
--------------------------------------------------------------------------------
39  Name of index                                                               
--------------------------------------------------------------------------------
40  Daily index or monthly index                                                
--------------------------------------------------------------------------------
41  Daily index or monthly index, if other                                      
--------------------------------------------------------------------------------
42  Base index value                                                            
--------------------------------------------------------------------------------
43  Index base date                                                             
--------------------------------------------------------------------------------
                                                                                
    Other Information                                                           
44  Call option                                             No                  
--------------------------------------------------------------------------------
45  Put option                                              No                  
--------------------------------------------------------------------------------
46  Convertible                                             No                  
--------------------------------------------------------------------------------
47  Credit rating (rating agency, date)                                         
--------------------------------------------------------------------------------
48  Additional information                                                      
--------------------------------------------------------------------------------
                                                                                
    Admission to Trading                                                        
49  Registered at CSD                                       Yes                 
--------------------------------------------------------------------------------
50  Securities depository                                   Nasdaq CSD Iceland  
--------------------------------------------------------------------------------
51  Date of Application for Admission to Trading            May 24, 2019        
--------------------------------------------------------------------------------
52  Date of Approval of Application for Admission to        May 24, 2019        
     Trading                                                                    
--------------------------------------------------------------------------------
53  Date of admission to trading                            May 28, 2019        
--------------------------------------------------------------------------------
54  Trading code (Ticker)                                   LBANK_200528        
--------------------------------------------------------------------------------
55  Instrument subtype                                      Corporate Bonds     
--------------------------------------------------------------------------------
56  Market                                                  OMX ICE CP Fixed    
                                                             Income             
--------------------------------------------------------------------------------
57  List population name                                    OMX ICE Bank Bills  
--------------------------------------------------------------------------------
58  Static volatility guards                                No                  
--------------------------------------------------------------------------------
59  Dynamic volatility guards                               No                  
--------------------------------------------------------------------------------
60  MiFIR identifier                                        BONDS - Bonds       
--------------------------------------------------------------------------------
61  Bond type                                               CRPB - Corporate    
                                                             Bond               
--------------------------------------------------------------------------------
62  Country code                                            IS                  
--------------------------------------------------------------------------------
© 2019 GlobeNewswire
Werbehinweise: Die Billigung des Basisprospekts durch die BaFin ist nicht als ihre Befürwortung der angebotenen Wertpapiere zu verstehen. Wir empfehlen Interessenten und potenziellen Anlegern den Basisprospekt und die Endgültigen Bedingungen zu lesen, bevor sie eine Anlageentscheidung treffen, um sich möglichst umfassend zu informieren, insbesondere über die potenziellen Risiken und Chancen des Wertpapiers. Sie sind im Begriff, ein Produkt zu erwerben, das nicht einfach ist und schwer zu verstehen sein kann.