New Mortgage Bond Future 3YMBFM2


Notice regarding admission of bond future to trading and clearing on NASDAQ OMX

 

NASDAQ OMX has agreed to admit the following mortgage bond future to trading and clearing as of 1st March 2011

 

ISIN Name Expiration date (fixing) Settlement date
SE0004416691 3YMBFM2 27-06-2012 02-07-2012

 

The future consists of a basket of underlying unit bonds (enhedsobligationer). The unit bonds are included in the future contract in the following proportion (in brackets):

  • 2’January 15 (25 %)
  • 2’ April 15 (25 %)
  • 2’ April 16 (25 %)
  • 2’October 16 (25 %)

 Upon expiry, bonds for delivery may be freely selected from among different issuers (bond series) within the individual unit bonds. The choices are listed below together with the volume in circulation, on which the selection of the underlying bonds has been based.

 

Unit ISIN Name Volume in circulation (DKKbn)
2’January 15 DK0009783029 2NYKHBja 15nc 4.9  
  DK0009287203 2RD10TJA15 12.0  
  DK0002023126 2NDASDRO15 5.5  
2’ April 15 DK0009776916 2NYKEBap15nc 8.6  
  DK0009282832 2RD10SAP 15 12.5  
  DK0002024017 2NDASDROAP15 1.3  
2’ April 16 DK0009784423 2NYKHBap16nc 1.4  
  DK0009286239 2RD10TAP16 5.7  
  DK0002025337 2NDASDROAP16 0.8  
2’ October 16 DK0009785073 2NYKHBok16nc 15.1  

 

For further information, please see Contract Specifications – Mortgage Bond Future, which are available at

http://nordic.nasdaqomxtrader.com/trading/fixedincome/Fixed_Income_Derivatives/Products/

 

Regards

 

NASDAQ OMX


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