Realkredit Danmark 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 1 November 2011:  
 
ISIN       Name            Payments per year    Maturity date        
LU0683006653   2,0% 2RD10ULUJA 2013          1              1 January 2013      
LU0683008865   2,0% 2RD10ULUJA 2014          1              1 January 2014      
LU0683010093   2,0% 2RD10ULUJA 2015          1              1 January 2015      
LU0683010929   2,0% 2RD10ULUJA 2016          1              1 January 2016      
LU0683011653   2,0% 2RD10ULUJA 2017          1              1 January 2017      
LU0683012628   2,0% 2RD10ULUJA 2018          1              1 January 2018      
LU0683013865   2,0% 2RD10ULUJA 2019          1              1 January 2019      
LU0683014756   2,0% 2RD10ULUJA 2020          1              1 January 2020      
LU0683016298   2,0% 2RD10ULUJA 2021          1              1 January 2021      
LU0683017262   2,0% 2RD10ULUJA 2022          1              1 January 2022      
LU0683018740   2,0% 2RD10ULUJA 2023          1              1 January 2023      
                                                                                           
The bonds are denominated in EUR and will be placed under the submarket Realkredit- og særlige institutter in the group Realkredit Danmark A/S, Åbne serier in the sub-group Realkredit Danmark A/S, SDRO, Stående lån.  
 
 
   
For further information please contact: Jeppe Møller Nielsen, Surveillance, tlf: 33 93 33 66                    

 


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