It has been decided to admit the following ship mortgage bond for trading and official listing with effect from 21 November 2017:
Udsteder / issuer | Danmarks Skibskredit A/S |
Første dato for handel / First day of trading | 2017-11-21 |
ISIN | DK0004132248 |
Instrument name/ticker | 1 SK jan 25 |
Udstedelsesvaluta / Currency, issuance | DKK |
Årlig nominel rente / Nominal interest rate | 1.0 |
Udløbsdato / Maturity date | 2025-01-01 |
Terminer pr. år / Payments per year | 1 |
For further information please contact Nasdaq Copenhagen A/S, Surveillance, tel. 33 93 33 66