Fixing of coupon rates effective from 1 October 2010


Effective from 1 October 2010, the coupon rates of the floating-rate bonds
below  issued by Nykredit Realkredit A/S will be adjusted. 

The new coupon rates will apply from 1 October 2010 to 31 December 2010:

Uncapped bonds
LU0471616655 (31E), maturity in 2011, new rate at 1 October 2010: 0.8912% pa.
LU0455441336 (31E), maturity in 2011, new rate at 1 October 2010: 0.8912% pa.
DK0009774978 (31E), maturity in 2011, new rate at 1 October 2010: 1.1609% pa.
DK0009777211 (31G), maturity in 2011, new rate at 1 October 2010: 1.3637% pa.
LU0516444170 (20D), maturity in 2012, new rate at 1 October 2010: 0.9926% pa.
DK0009779779 (JCB), maturity in 2013, new rate at 1 October 2010: 1.7950% pa.
DK0009772253 (21E), maturity in 2014, new rate at 1 October 2010: 1.2116% pa.
DK0009765711 (29D), maturity in 2018, new rate at 1 October 2010: 0.8912% pa.
DK0009770554 (21E), maturity in 2019, new rate at 1 October 2010: 0.8912% pa.
DK0009770984 (49D), maturity in 2019, new rate at 1 October 2010: 1.1609% pa.
DK0009766446 (49D), maturity in 2038, new rate at 1 October 2010: 1.1609% pa.
DK0009769622 (21E), maturity in 2041, new rate at 1 October 2010: 1.1609% pa.

Questions may be directed to Lars Mossing, Head of Trading, Group Treasury, tel
+45 44 55 11 66, or Nels Petersen, Head of Corporate Communications, tel +45 44
55 14 70. 

Attachments

24092010-kvartaarlig-uk.pdf