To NASDAQ OMX Copenhagen A/S 27 September 2010 Announcement no. 89/2010 Fixing of interest coupon in the series 154.B, 454.B.OA, 154.E, 454.E.OA, 455.E.R.OA and 414.E.OA, as per 1 October 2010 Interest rate for BRFkredit's: Series 154.B. 2038 ISIN DK0009361701 Series 454.B. 2038 ISIN DK0009361628 have as per 1 October 2010 and until and including 31 March 2011 been set at 2.34% pa. Interest rate for BRFkredit's: Series 454.B. 2015 ISIN DK0009362949 has as per 1 October 2010 and until and including 31 March 2011 been set at 1.99% pa. Interest rate for BRFkredit's: Series 154.E. 2041 ISIN DK0009366932 Series 454.E. 2041 ISIN DK0009367070 have as per 1 October 2010 and until and including 31 March 2011 been set at 1.99% pa. Interest rate for BRFkredit's: Series 455.E.R.OA 2019 ISIN DK0009369019 has as per 1 October 2010 and until and including 31 March 2011 been set at 3.45% pa. Interest rate for BRFkredit's: Series 414.E.OA 2016 ISIN DK0009374019 has as per 1 October 2010 and until and including 31 March 2011 been set at 1.8149% pa. Best regards, BRFkredit Ulrikke Ekelund Chief Economist Direct Phone: +45 4526 2257 Please observe that the Danish version of this announcement prevails.
Fixing of interest coupon in the series 154.B, 454.B.OA, 154.E, 454.E.OA, 455.E.R.OA and 414.E.OA, as per 1 October 2010
| Source: Jyske Realkredit A/S