In continuation of the stock exchange announcement on prepayment rates dated 21 August 2015, we hereby release prepayment rates as a percentage of the amount redeemed and not of the outstanding amount.
The new data include the redemptions on the following dates:
1 October 2015 (bonds with 4 payment dates)
11 December 2015 (bonds with 2 payment dates) and
1 January 2016 (bonds with 2 payment dates).
The new data also appear from the attached file.
Questions may be addressed to Nykredit Realkredit A/S, Group Treasury,
Morten Bækmand Nielsen, Head of Investor Relations, tel +45 44 55 15 21.