Nykredit Realkredit A/S - Admission for trading and official listing


 

It has been decided to admit the following bonds for trading and official listing with effect from 15 October 2012:    
   
                                                                                             
ISIN       Name            Payments per year    Maturity date          
DK0009790909   2,0% 12HBapnc 2018          1              1 April 2018        
The bonds are denominated in DKK and will be placed under the submarket Realkredit- og særlige institutter in the group Nykredit Realkredit A/S, Åbne serier in the sub-group Nykredit Realkredit A/S, SDO, Stående lån and under Totalkredit A/S, financed by issue in Nykredit Realkredit A/S, SDO, Stående lån.      
     
     
ISIN   Navn  Payments per year  Maturity date        
LU0841796120   1,0% 12HBapnclu 2015          1              1 April 2015        
The bonds are denominated in EUR and will be placed under the submarket Realkredit- og særlige institutter in the group Nykredit Realkredit A/S, Åbne serier in the sub-group Nykredit Realkredit A/S, SDO, Stående lån.        
       
       
ISIN       Name            Payments per year    Maturity date          
DK0009791394   0,8922% 31H350CF6Hnc 2018          4              1 January 2018        
The bonds are denominated in DKK and will be placed under the submarket Realkredit- og særlige institutter in the group Nykredit Realkredit A/S, Åbne serier in the sub-group Nykredit Realkredit A/S, SDO, Hybrid, Variabelt Forrentet, Opsat amortisering and under Totalkredit A/S, financed by issue in Nykredit Realkredit A/S, SDO, Hybrid, Variabelt Forrentet, Opsat amortisering.  
 
 
ISIN       Name            Payments per year    Maturity date          
DK0009791204   0,6894% 40DF6Hncja 2015          4              1 January 2015        
The bonds are denominated in DKK and will be placed under the submarket Realkredit- og særlige institutter in the group Nykredit Realkredit A/S, Åbne serier in the sub-group Nykredit Realkredit A/S, RO, Hybrid, Variabelt Forrentet, Opsat amortisering.  
 
 
ISIN       Name            Payments per year    Maturity date          
DK0009790826   5,3% 70DF3Hjalu 2018          4              1 January 2018        
The bonds are denominated in PLN and will be placed under the submarket Realkredit- og særlige institutter in the group Nykredit Realkredit A/S, Åbne serier in the sub-group Nykredit Realkredit A/S, RO, Hybrid, Variabelt Forrentet, Opsat amortisering.  
 
                                                                                             
     
For further information please contact: Helene Gaustad Jeppesen, Surveillance, tlf: 33 93 33 66                  

 


Attachments

NYKREDIT I UK.pdf