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 22 August 2011:    
   
                                                                               
ISIN       Name            Payments per year    Maturity date    
DK0009785230   1,7084% 31HF3Hncok 2013    4              1 October 2013    
DK0009785313   1,858% 31HF3Hncok 2016    4              1 October 2016    
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, Variabel, Hybrid amortisering.  
 
                                                                               
                                                                               
ISIN       Name            Payments per year    Maturity date    
LU0641927529   1,6374% 31HF3Hncoklu 2013    4              1 October 2013    
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, Variabel, Hybrid amortisering.  
 
                                                                               
                                                                               
ISIN       Name            Payments per year    Maturity date    
DK0009785586   2,753% 31HF3BncSEK 2013    4              1 April 2013    
The bonds are denominated in SEK 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, Variabelt forrentet.  
 
 
 
   
For further information please contact: Helene Gaustad Jeppesen, Surveillance, tlf: 33 93 33 66    

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