Further to company announcement no. 75 of August 21, 2015 hereby announced the extraordinary redemption percentage now calculated as a percentage of the redemption quantity instead of as a percentage of the outstanding amount:
- 1 October 2015 (bonds with four annual settling periods)
- 11 December 2015 (bonds with two annual settling periods)
- 1 January 2016 (bonds with two annual settling periods)
Please find the data in the attached file.
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Yours sincerely
The Executive Board
Any additional questions should be addressed to Klaus Kristiansen, Executive Vice President, Asset Liability Management, phone +45 4513 2026.