- Kaupþing banki - Final Terms (KAU CB3) admitting to trading 14 March 2008


Issuer: 
Kaupthing Bank hf.
ID-number: 560882-0419
Borgartúni 19, 
108 Reykjavík

Date of admission:
03.14.2008

Symbol:
KAU CB 3

ISIN-code:
XS0349859016

Orderbook ID:
53663

Bond type:
Annuity payment

Market:
OMX ICE Fixed Income

Size limits:
Open 

Issued:
4,000,000,000

Denomination:
100,000

Issue date:
March 13, 2008

First due date:
April 10, 2008

Number of due dates:
92

Maturity date:
January 10, 2031

Interests calculated from:
March 10, 2008

First interest payment date: 
April 10, 2008

Number of interest payments:
92

Interest:
4,0%

Indexed:
Yes

Name of index:
CPI IS

Base index value:
282,3

Dirty price / Clean price:
Clean Price

Day count convention:
30E/360

Call option:
Yes

Put option:
No

Convertible:
No

Market making:
Yes

Credit Rating (rating agency, date):
Aaa by Moody´s (Dated: 03.13.2008)

Securities depository:
Euroclear

Issued electronically:
Yes

OMX ICE member responsible for admission to trading:
Kaupthing Bank hf.

Attachments

final_terms3.doc