Stock exchange announcement number 67 – 2009
With effect from 1 October 2009, the coupon rate of the following bonds financing RenteDyk™, RD Euribor3® and FlexGaranti® will be adjusted.
RenteDyk™ ISIN codeNameProductCoupon rate until 30 September 2009New coupon rate from 1 October 2009 to 31 March 2010* DK000927872340S 2039 RenteDyk™4.
96 % p.
a.
4.
96 % p.
a.
DK000927880641S 2039 OARenteDyk™4.
96 % p.
a.
4.
96 % p.
a.
DK000928208940S 2041 RenteDyk™5.
60 % p.
a.
5.
55 % p.
a.
DK000928216241S 2041 OARenteDyk™5.
60 % p.
a.
5.
55 % p.
a.
DK000927899640Q 2039 RenteDyk™4.
49 % p.
a.
4.
49 % p.
a.
DK000927902841Q 2039 OARenteDyk™4.
49 % p.
a.
4.
49 % p.
a.
LU039569787240Q 2041RenteDyk™6.
49 % p.
a.
6.
49 % p.
a.
LU039569922541Q 2041 OARenteDyk™6.
49 % p.
a.
6.
49 % p.
a.
* For all ISIN codes Danish banking days are used RD Euribor3® ISIN codeNameProductCoupon rate until 30 September 2009New coupon rate from 1 October 2009 to 31 December 2009 DK000927864012Q 2018 OAEuribor3®1.
16 % p.
a.
0.
75 % p.
a.
LU039569922512Q 2010 OAEuribor3®1.
16 % p.
a.
0.
75 % p.
a.
FlexGaranti® ISIN codeNameProductCoupon rate until 30 September 2009New coupon rate from 1 October 2009 to 31 March 2010 DK000927279153D 6FFFlexGarant®6.
00 % p.
a.
6.
00 % p.
a.
DK000927260163D 6FF OAFlexGarant®6.
00 % p.
a.
6.
00 % p.
a.
DK000927325253D 5FFFlexGarant®5.
00 % p.
a.
5.
00 % p.
a.
DK000927333663D 5FF OAFlexGarant®5.
00 % p.
a.
5.
00 % p.
a.
DK000927376573D 6CFFlexGarant®3.
85 % p.
a.
2.
48 % p.
a.
DK000927384983D 6CF OAFlexGarant®3.
85 % p.
a.
2.
48 % p.
a.
DK000927341973D 5CFFlexGarant®4.
10 % p.
a.
2.
73 % p.
a.
DK000927368283D 5CF OAFlexGarant®4.
10 % p.
a.
2.
73 % p.
a.
DK000927988730S 6CFFlexGarant®3.
75 % p.
a.
2.
38 % p.
a.
DK000927996031S 6CF OAFlexGarant®3.
75 % p.
a.
2.
38 % p.
a.
The Executive Board
Any additional questions should be addressed to Head of Innovation Jens Kristian Kimper, phone +45 45 13 20 39.