Refinancing of floating-rate loans – fixing of interest rate spread


Today, Nykredit Realkredit conducted two auctions in connection with the refinancing of Cibor6- and Euribor6-loans. The loans are funded by way of ROs issued out of Capital Centre D.

The results of the auctions are shown below. The spreads will be in force until the next refinancing.
   

  Cibor6-loan Euribor6-loan
ISIN DK000950661 -0 DK000950688-3
Capital Centre D (RO) D (RO)
Series 41D 20D
Auction results    
Total allotment DKK 7,800m EUR 500m
Total bids DKK 20,610m EUR 801.5m
Interest rate spread +0,20  +0,70
Other information    
Next interest rate fixing 1 July 2015 1 July 2015
Next refinancing 1 July 2016 1 July 2016

  

The final terms for the bonds will be updated with the interest rate spread. The final terms will be available under Investor Relations at nykredit.com.

 

Enquiries may be addressed to Group Treasury, Christian Mauritzen,
tel +45 44 55 10 14, or Kim Brodersen tel. +45 44 55 24 21.

 


Attachments

Refinancing of floating-rate loans - fixing of interest rate spread - 11 05 2015.pdf