BRFkredit mortgage bonds (RO)
issued until 31 December 2007


The table below shows the mortgage bond series that BRFkredit until 31 December 2007 has issued bonds in.



All of the mortgage bonds (ROs) mentioned below are closed for further issuance as of 31 December 2007 in order to secure the bonds a status as covered bonds under the grand-father clause of the Danish SDO (covered bond) legislation.

Read more about BRFkredit's issuance of covered bonds (SDOs)
Read more about BRFkredit's issuance of mortgage bonds (ROs) after 31 December 2007

All of the mortgage bonds mentioned below are rated Aa3 by Moody's Investor Service.


Issuance in a bond series may stop due to market conditions or changes in debtors' (borrowers') preferences. The bond series will however remain open.

To see the Final Terms for a specific bond - click on the ISIN or name of the bond.

Base Prospectus - mortgage bonds (ROs) - 15 June 2005
Addendum no. 1 to the base prospectus for mortgage bonds (ROs)
Addendum no. 2 to the base prospectus for mortgage bonds (ROs)
Addendum no. 3 to the base prospectus for mortgage bonds (ROs)
Addendum no. 4 to the base prospectus for mortgage bonds (ROs)
Addendum no. 5 to the base prospectus for mortgage bonds (ROs)
Addendum no. 6 to the base prospectus for mortgage bonds (ROs)
Addendum no. 7 to the base prospectus for mortgage bonds (ROs)
Addendum no. 8 to the base prospectus for mortgage bonds (ROs)
Addendum no. 9 to the base prospectus for mortgage bonds (ROs)
Addendum no. 10 to the base prospectus for mortgage bonds (ROs)
Addendum no. 11 to the base prospectus for mortgage bonds (ROs)
Addendum no. 12 to the base prospectus for mortgage bonds (ROs)
Addendum no. 13 to the base prospectus for mortgage bonds (ROs)
Read more about BRFkredit's prospectuses and final terms


Series 111.B - mortgage bonds
Fixed rate, annuity bonds, callable, DKK
DK00093584003% BRF 111B 2015
DK00093611153% BRF 111B 2018
DK00093633274% BRF 111B 2018
DK00093581604% BRF 111B 2020
DK00093615453% BRF 111B 2023
DK00093606534% BRF 111B 2023
DK00093582444% BRF 111B 2025
DK00093619743% BRF 111B 2028
DK00093613884% BRF 111B 2028
DK00093631605% BRF 111B 2028
DK00093588304% BRF 111B 2035
DK00093618913% BRF 111B 2038
DK00093614614% BRF 111B 2038
DK00093565455% BRF 111B 2035
DK00093605705% BRF 111B 2038

Series 411.B - mortgage bonds
Fixed rate, annuity bonds w/ option on IO, callable, DKK
DK00093610324% BRF 411B 2038
DK00093598045% BRF 411B 2035
DK00093607375% BRF 411B 2038
DK00093599946% BRF 411B 2035
DK00093647216% BRF 411B 2038

Series 142.B - mortgage bonds
Floating-to-fixed rate, annuity bonds, DKK
DK0009360497FRN BRF 142B 6FF 2038

Series 442.B - mortgage bonds
Floating-to-fixed rate, annuity bonds w/ option on IO, DKK
DK0009360307FRN BRF 442B 6FF OA 2038

Series 154.B - mortgage bonds
Capped floating rate, annuity bonds, DKK
DK0009361701FRN BRF 154B 5CF 2038

Series 454.B - mortgage bonds
Capped floating rate, annuity bonds w/ option on IO, DKK
DK0009361628FRN BRF 454B 5CF OA 2038
DK0009362949FRN BRF 454B 4CF OA 2015

Series 422.B - mortgage bonds
Floating rate, annuity w/ option on IO, DKK
DK0009363087FRN BRF 422B OA 2018

Series 321.B.RTL - mortgage bonds
Fixed rate, bullet bonds, non-callable, DKK
DK00093586734% BRF 321 B RTL 2011
DK00093639133% BRF 321 B RTL 2011
DK00093621962% BRF 321 B RTL 2011
DK00093587564% BRF 321 B RTL 2012
DK00093623522% BRF 321 B RTL 2012
DK00093640513% BRF 321 B RTL 2012
DK00093583274% BRF 321 B RTL 2013
DK00093622792% BRF 321 B RTL 2013
DK00093597214% BRF 321 B RTL 2014
DK00093624362% BRF 321 B RTL 2014
DK00093601414% BRF 321 B RTL 2015
DK00093625192% BRF 321 B RTL 2015
DK00093627822% BRF 321 B RTL 2016
DK00093641354% BRF 321 B RTL 2016
DK00093642184% BRF 321 B RTL 2017
DK00093646484% BRF 321 B RTL 2018

Series 321.B.EUR - mortgage bonds
Fixed rate, bullet bonds, non-callable, EUR
DK00093628654% BRF 321 B EUR 2011
DK00093644814% BRF 321 B EUR 2012

  • BRFkredit
  • Klampenborgvej 205
  • 2800 Kgs. Lyngby
  • Telephone: (+45) 45 93 45 93