Lýsing hf. - Bonds (LYSING 17 1) admitted to trading on 19 May 2017


 

Term Sheet
 
Issuer: Lýsing hf.
Org. no: 621101-2420
Address: Ármúli 1, 108 Reykjavík
 
Bonds/bills: Bonds
Symbol (Ticker) LYSING 17 1
ISIN code IS0000028801
CFI code D-B-F-U-F-R
Registered at ISD Yes
Amortization type Annuity
Country Iceland
Currency ISK – Icelandic krona
Date of admission to trading 19.05.2017
Order book ID 138157
Instrument subtype Corporate Bonds
Market OMX ICE CP Fixed Income
List population name OMX ICE Corporate bonds
Denomination in CSD 10.000.000 kr.
Size limit 15.000.000.000 kr.
Total issued amount 3.460.000.000 kr.
Amount admitted to trading at this time 3.460.000.000 kr.
Issue date Wednesday, May 17, 2017
First ordinary installment date Tuesday, May 15, 2018
Total number of installments 7
Installment frequency 1
Maturity date Wednesday, May 15, 2024
Interest rate 3,95%
Floating interest rate NA
Premium NA
Simple/compound interest Simple
Day count convention 30E/360
Interest from date Wednesday, May 17, 2017
First ordinary coupon date Tuesday, May 15, 2018
Coupon frequency 1
Total number of coupon payments 7
Indexed Yes
Name of index Consumer Price Index
Daily index or monthly index Daily Index
Base index value 441,07333
Index base date Wednesday, May 17, 2017
Dirty price / clean price Clean price
Call option Yes
Put option NA
Convertible NA
Additional information NA
Market making None
Credit rating (rating agency, date) NA
Securities depository Nasdaq CSD Iceland hf.
Coordinator – admission to trading Issuer
If irregular cash flow, then how NA
If payment date is a bank holiday, does payment include accrued interest for days missing until next business day? Yes