- New Bond (ATOR 07 1) Listing 7 September 2007


Issuer:	
Atorka Group hf., 
Hlíðarsmára 1, 
201 Kópavogur, 
kt. 600390-2289

Date of admission:	
07.09.2007

Symbol:	
ATOR 07 1

ISIN-code:	
IS0000014314

Orderbook ID:	
42575

Bond type:	
Interest bearing

Market:	
OMX ICE Fixed Income

Size limits: 	
22,000,000 EUR

Issued:	
22,000,000 EUR

Denomination:	 
100,000 EUR

Issue date:	
7 February 2007

First due date:	
7 August 2008

Number of due dates:	
1

Maturity date:	
7 August 2008

Interests calculated from:	
7 February 2007

First interest payment date:	
7 May 2007

Number of interest payments:	
6

Interest:	
3 month EURIBOR plus 290bp

Indexed:	
N/A

Name of index:	
N/A

Base index value:	
N/A

Dirty price / Clean price:	
Clean price

Day count convention:	
Act/360

Call option:	
N/A

Put option:	
N/A

Convertible:	
N/A

Market making:	
N/A

Credit Rating (rating agency, date):	
N/A

Securities depository:	
Icelandic Securities Depository

Issued electronically: 	
Yes

OMX member responsible for admission to trading:	
Landsbanki Íslands hf.

Attachments

securities note ator 07 1.pdf