Issuer: Glitnir bank Kirkjusandur 150 Reykjavik ID 550500-3530 Date of admission: 31.10.2007 Symbol: GLB 09 1028 ISIN-code:GLB XS0327897491 Orderbook ID: 49533 Bond type: Fixed Rate Notes Market: OMX ICE CP Fixed Income Size limits: 20,000,000,000 ISK Issued: 20,000,000,000 ISK Denomination: 5,000,000 Issue date: 31. October 2007 First due date: 28. october 2009 Number of due dates: 1 Maturity date: 28. october 2009 Interests calculated from: 31. october 2007 First interest payment date: 28. October 2008 Number of interest payments: 2 interest payments Interest: 13,5 Indexed: N/A Name of index: N/A Base index value: N/A Dirty price / Clean price: Clean price Day count convention: ACT/ACT Call option: No Put option: No Convertible: No Market making: Yes Credit Rating (rating agency, date): Moodys Aa3 (October 2007) Fitch A (March 2007) S&P A- (February 2007) Securities depository: Euroclear Issued electronically: Yes OMX ICE member responsible for admission to trading: Glitnir bank
- Glitnir banki - Final Terms GMTN Programme (GLB 09 1028) eff. 31 October 2007
| Source: NASDAQ Iceland hf.