It has been decided to admit the following mortgage bonds (SDRO) for trading and official listing with effect from 14 November 2019: Udsteder / issuer Realkredit Realkredit Realkredit Realkredit Danmark A/S Danmark A/S Danmark A/S Danmark A/S Første dato for handel 14-11-2019 14-11-2019 14-11-2019 14-11-2019 / First day of trading ISIN DK0004614310 DK0004614237 DK0004615200 DK0004614153 Instrument name/ticker 1RD10F23AP2IT 1RD10F22AP1IT 1RD10A22JARF 1RD10F31JARF Udstedelsesvaluta / DKK DKK DKK DKK Currency, issuance Årlig nominel rente / 1 1 1 1 Nominal interest rate Udløbsdato / Maturity 01-04-2023 01-04-2022 01-01-2022 01-01-2031 date Terminer pr. år / 1 1 1 1 Payments per year Udsteder / issuer Realkredit Realkredit Realkredit Realkredit Danmark A/S Danmark A/S Danmark A/S Danmark A/S Første dato for 14-11-2019 14-11-2019 14-11-2019 14-11-2019 handel / First day of trading ISIN DK0004615127 DK0004614070 DK0004615044 DK0004613932 Instrument 1RD10G31APRF 1RD10F23JA2IT 1RD10G23AP2IT 1RD10F22JA1IT name/ticker Udstedelsesvaluta / EUR DKK EUR DKK Currency, issuance Årlig nominel rente / 1 1 1 1 Nominal interest rate Udløbsdato / Maturity 01-04-2031 01-01-2023 01-04-2023 01-01-2022 date Terminer pr. år / 1 1 1 1 Payments per year Udsteder / issuer Realkredit Realkredit Realkredit Realkredit Danmark A/S Danmark A/S Danmark A/S Danmark A/S Første dato for 14-11-2019 14-11-2019 14-11-2019 14-11-2019 handel / First day of trading ISIN DK0004614906 DK0004614823 DK0004614740 DK0004614666 Instrument 1RD10G22AP1IT 1RD10G31JARF 1RD10G23JA2IT 1RD10G22JA1IT name/ticker Udstedelsesvaluta / EUR EUR EUR EUR Currency, issuance Årlig nominel rente / 1 1 1 1 Nominal interest rate Udløbsdato / Maturity 01-04-2022 01-01-2031 01-01-2023 01-01-2022 date Terminer pr. år / 1 1 1 1 Payments per year Udsteder / issuer Realkredit Realkredit Realkredit Realkredit Danmark A/S Danmark A/S Danmark A/S Danmark A/S Første dato for handel 14-11-2019 14-11-2019 14-11-2019 14-11-2019 / First day of trading ISIN DK0004614583 DK0004615556 DK0004615473 DK0004615390 Instrument name/ticker 1RD10F31APRF 1RD10A31APRF 1RD10A23AP2IT 1RD10A22AP1IT Udstedelsesvaluta / DKK DKK DKK DKK Currency, issuance Årlig nominel rente / 1 1 1 1 Nominal interest rate Udløbsdato / Maturity 01-04-2031 01-04-2031 01-04-2023 01-04-2022 date Terminer pr. år / 1 1 1 1 Payments per year ?? For further information please contact Nasdaq Copenhagen A/S, Surveillance, tel. +45 33 93 33 66
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