Hafnarfjarðarkaupstaður – Bonds (HFJ 14 1) admitted to trading on 23 December 2014


 

Term Sheet
 
Issuer: Hafnarfjarðarkaupstaður
Org. no: 590169-7579
Address: Strandgata 6, 220 Hafnarfjörður
 
Bonds/bills:  
Symbol (Ticker) HFJ 14 1
ISIN code IS0000024834
CFI code D-B-F-U-G-R
Registered at ISD Yes
Amortization type Annuitet
Country Iceland
Currency ISK
Date of admission to trading 23.12.2014
Order book ID 105184
Instrument subtype Municipal and local government bonds
Market OMX ICE CP Fixed Income
List population name OMX ICE Municipal and LSS Bonds
Denomination in CSD 10.000.000,-
Size limit Up to 8.000.000.000,-
Total issued amount 5.500.000.000,-
Amount admitted to trading at this time 5.500.000.000,-
Issue date Wednesday, May 21, 2014
First ordinary installment date Friday, November 21, 2014
Total number of installments 60
Installment frequency 2
Maturity date Friday, May 20, 2044
Interest rate 3,75% fixed
Floating interest rate N/A
Premium N/A
Simple/compound interest Simple
Day count convention 30E/360
Interest from date Wednesday, May 21, 2014
First ordinary coupon date Thursday, November 20, 2014
Coupon frequency 2
Total number of coupon payments 60
Indexed Yes
Name of index Consumer Price Index
Daily index or monthly index Daily Index
Base index value 420,56667
Index base date Wednesday, May 21, 2014
Dirty price / clean price Clean price
Call option No
Put option No
Convertible No
Additional information Issuer is permitted to buy the bonds, in part or in whole, in the secondary market
Market making No
Credit rating (rating agency, date) No
Securities depository Icelandic Securities Depository
Coordinator – admission to trading H.F. Securities hf.
If irregular cash flow, then how N/A
If payment date is a bank holiday, does payment include accrued interest for days missing until next business day? No