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Issuer Information |
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1 |
Issuer: |
SÍL hs. |
2 |
Org. no: |
701120-9490 |
3 |
LEI |
254900FNEXZP1HP8WS58 |
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Issue Information |
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4 |
Symbol (Ticker) |
SIL 21 1 |
5 |
ISIN code |
IS0000032696 |
6 |
CFI code |
D-B-V-U-F-R |
7 |
FISN númer |
SIL 21 1/VAR BD 20280220 |
8 |
Bonds/bills: |
Bond |
9 |
Total issued amount |
7.975.000.000 |
10 |
Total amount previously issued |
0 |
11 |
Amount issued at this time |
7.975.000.000 |
12 |
Denomination in CSD |
1 |
13 |
Listed on Nasdaq Stock Exchange |
Yes |
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Amortization - Cash Flow |
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14 |
Amortization type |
Other |
15 |
Amortization type, if other |
Please refer to Company Description or Icelandic version of Term Sheet. |
16 |
Currency |
ISK |
17 |
Currency, if other |
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18 |
Issue date |
2021.01.29 |
19 |
First ordinary installment date |
2021.05.20 |
20 |
Total number of installments |
28 |
21 |
Installment frequency |
4 |
22 |
Maturity date |
2028.02.20 |
23 |
Interest rate |
Floating rate (indexed) |
24 |
Floating interest rate, if applicable |
Annað |
25 |
Floating interest rate, if other |
Please refer to Company Description or Icelandic version of Term Sheet. |
26 |
Premium |
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27 |
Simple/compound interest |
Simple Interest |
28 |
Simple/compound, if other |
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29 |
Day count convention |
30E/360 |
30 |
Day count convention, if other |
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31 |
Interest from date |
2021.01.29 |
32 |
First ordinary coupon date |
2021.05.20 |
33 |
Coupon frequency |
4 |
34 |
Total number of coupon payments |
28 |
35 |
If irregular cash flow, then how |
Please refer to 15 and 25 |
36 |
Dirty price / clean price |
Clean Price |
37 |
Clean price quote: |
Remaining nominal |
38 |
If payment date is a bank holiday, does payment include accrued interest for days missing until next business day? |
No |
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Indexing |
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39 |
Indexed |
Yes |
40 |
Name of index |
CPI |
41 |
Daily index or monthly index |
Daily Index |
42 |
Daily index or monthly index, if other |
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43 |
Base index value |
490,23333 |
44 |
Index base date |
2021.01.29 |
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Other Information |
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45 |
Call option |
Yes |
46 |
Put option |
No |
47 |
Convertible |
No |
48 |
Credit rating (rating agency, date) |
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49 |
Additional information |
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Admission to Trading |
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50 |
Registered at CSD |
Yes |
51 |
Securities depository |
Nasdaq verðbréfamiðstöð |
52 |
Date of Application for Admission to Trading |
2021.03.16 |
53 |
Date of Approval of Application for Admission to Trading |
2021.04.15 |
54 |
Date of admission to trading |
2021.04.23 |
55 |
Order book ID |
SIL_21_1 |
56 |
Instrument subtype |
Corporate Bonds |
57 |
Market |
Iceland FN Bond Market |
58 |
List population name |
First North ICE Fixed Income |
59 |
Static volatility guards |
No |
60 |
Dynamic volatility guards |
No |
61 |
MiFIR identifier |
BOND - Bonds |
62 |
Bond type |
CRPB - Corporate Bond |