Lýsing hf. - Bills (LYSING 18 0115) admitted to trading on 18 July 2017
| Source:
NASDAQ Iceland hf.
NASDAQ Iceland hf.
Term Sheet
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Issuer: |
Lýsing hf. |
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Org. no: |
621101-2420 |
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Address: |
Ármúli 1, 108 Reykjavík |
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Bonds/bills: |
Bills |
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Symbol (Ticker) |
LYSING180115 |
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ISIN code |
IS0000029007 |
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CFI code |
D-Y-F-U-X-R |
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Registered at ISD |
Yes |
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Amortization type |
One final payment of bill amount at maturity |
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Country |
Iceland |
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Currency |
ISK – Icelandic krona |
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Date of admission to trading |
18.07.2017 |
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Order book ID |
141016 |
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Instrument subtype |
Corporate Bonds |
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Market |
OMX ICE DP Fixed Income |
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List population name |
OMX ICE Corporate Bonds |
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Denomination in CSD |
20.000.000 kr. |
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Size limit |
600.000.000 kr. |
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Total issued amount |
600.000.000 kr. |
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Amount admitted to trading at this time |
600.000.000 kr. |
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Issue date |
Tuesday, July 18, 2017 |
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First ordinary installment date |
Monday, January 15, 2018 |
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Total number of installments |
1 |
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Installment frequency |
NA |
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Maturity date |
Monday, January 15, 2018 |
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Interest rate |
NA |
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Floating interest rate |
NA |
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Premium |
NA |
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Simple/compound interest |
Simple |
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Day count convention |
Actual/360, ISMA calculation |
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Interest from date |
NA |
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First ordinary coupon date |
NA |
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Coupon frequency |
NA |
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Total number of coupon payments |
NA |
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Indexed |
No |
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Name of index |
NA |
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Daily index or monthly index |
NA |
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Base index value |
NA |
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Index base date |
NA |
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Dirty price / clean price |
NA |
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Call option |
NA |
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Put option |
NA |
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Convertible |
NA |
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Additional information |
None |
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Market making |
No |
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Credit rating (rating agency, date) |
NA |
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Securities depository |
Nasdaq CSD Iceland hf. |
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Coordinator – admission to trading |
Issuer |
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If irregular cash flow, then how |
NA |
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If payment date is a bank holiday, does payment include accrued interest for days missing until next business day? |
No |
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