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sd-10-EFTA01378362Dept. of JusticeOther

EFTA Document EFTA01378362

INTERNAL USE ONLY DO NOT DISTRIBUTE IN PART OR IN WHOLE Euroland Rates> Covered Bonds Updated: Oct 27, 2015 Issue Country I Sector I Beta France CIE FINANCEMINT FONCIER 0.626 11/1212021 AAA Ma 1,600.000,000 0.36 - 3 101.43 FR0012299394 CAISSE REFINANCE L'HABIT 3.3 9/23/20= MWA WA Aaa 2,200,000,000 0.47 - 1 118.88 FR0010945451 BPCE SFH - SOCIETE OE Fl 1 2/24/2025 AM Aaa 760,000,000 0.87 0 100.89 FRODI2328841 CAISSE FRANCAISE DE FIN 3 10/2/2028 AA+ Ma 1,

Date
Unknown
Source
Dept. of Justice
Reference
sd-10-EFTA01378362
Pages
1
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0
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Summary

INTERNAL USE ONLY DO NOT DISTRIBUTE IN PART OR IN WHOLE Euroland Rates> Covered Bonds Updated: Oct 27, 2015 Issue Country I Sector I Beta France CIE FINANCEMINT FONCIER 0.626 11/1212021 AAA Ma 1,600.000,000 0.36 - 3 101.43 FR0012299394 CAISSE REFINANCE L'HABIT 3.3 9/23/20= MWA WA Aaa 2,200,000,000 0.47 - 1 118.88 FR0010945451 BPCE SFH - SOCIETE OE Fl 1 2/24/2025 AM Aaa 760,000,000 0.87 0 100.89 FRODI2328841 CAISSE FRANCAISE DE FIN 3 10/2/2028 AA+ Ma 1,

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Extracted Text (OCR)

EFTA Disclosure
Text extracted via OCR from the original document. May contain errors from the scanning process.
INTERNAL USE ONLY DO NOT DISTRIBUTE IN PART OR IN WHOLE Euroland Rates> Covered Bonds Updated: Oct 27, 2015 Issue Country I Sector I Beta France CIE FINANCEMINT FONCIER 0.626 11/1212021 AAA Ma 1,600.000,000 0.36 - 3 101.43 FR0012299394 CAISSE REFINANCE L'HABIT 3.3 9/23/20= MWA WA Aaa 2,200,000,000 0.47 - 1 118.88 FR0010945451 BPCE SFH - SOCIETE OE Fl 1 2/24/2025 AM Aaa 760,000,000 0.87 0 100.89 FRODI2328841 CAISSE FRANCAISE DE FIN 3 10/2/2028 AA+ Ma 1,000,000,000 1.33 20 119.30 FR0011580588 UK YORKSHIRE BUILDING SOC 1.26 6/11/2021 NWA N/A Ma 600.000.000 0.49 18 104.06 XS10762564C0 Canada BANK OF NOVA SCOTIA 0.76 9117/2021 NM N/A Ma 1,600,000,000 0.60 13 101.29 n1111155328 German COMMERZBANK AG 0.876 9/8/2026 NM N/A Aaa 600,000,000 0.81 12 100.47 DE000CZ4OKZO Spain BANKINTER SA CAJA RURAL DE NAVARRA 3/22/2017 A+ Aa2 1.000.000.000 0.04 0.22 E50413679178 4.125 2.876 18 106.46 8/11/2018 ON/A N/A Aa2 600,000,000 31 106.67 E S0415306002 BANCO BILBAO VIZCAYA ARG 3.5 10/7/2020 A+ Aa2 2,050,500,000 0.40 21 114.92 ES0413211105 FIANNA SA 4.6 4/26/2022 A+ A1u 1,600,000,000 0.87 61 122.61 ES0414950685 PITCHI 6.126 7/20/2022 BBB+ Aa2 1,200,000,000 0.91 0.64 66 126.93 ES0334699C08 KUTXABANK SA 1.75 6/27/2021 A+ Aa2 1,000.000,000 35 106.80 ES0443307048 Ireland NB MORTGAGE BANK 2.626 7/29/2016 AA Aa2 600,000,000 0.06 17 101.77 XS0880288211 Haly CASS NW PARMA PIACENZA 0.876 1/31/2022 /IN/A N/A Aa2 1,000,000,000 0.69 27 100.89 170005057002 INTESA SANPAOLO SPA 3.826 12/5/2022 ML/A WA Aa2 1,250.000,000 0.72 26 119.69 170004872328 UNIONE DI BANCHE ITALIAN 3.126 10/14/2020 OWA WA Aa2 1.600.000.000 0.42 26 112.89 IT0034966195 Norway SPAREBANK 1 BOLIGKREDITT 1.6 1/20/2020 Nal/A WA Ma 1.000.000.000 0.22 9 106.24 XS0995022361 Sweden LANSFOFtSAICRINGARHYPOTEK 1.126 6/7/2020 AAA Asa 600,000,000 0.24 7 103.82 )30926822189 Belgium BELFIUS BANK SAINV 0.626 10/14/2021 AAA Aaa 1,250,000,000 0.44 6 100.97 8E0002477520 Portugal CAIXA GERAL DE DEPOSITOS 3.76 1/18/2018 NN/A N/A A3 750,000,000 0.17 31 107.63 PTCGHUOE0015 Coupon Mat SW Moodys 1st Amt Yield Swap- Cash Price ISIN Deutsche Asset & Wealth Manacerner, CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) CONFIDENTIAL DB-SDNY-0075531 SDNY_GM_00221715 EFTA01378362

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Phone12299394
Phone13211105
Phone13679178
Phone14950685
Phone15306002
Phone2328841
Phone2477520
Phone3307048
Phone4872328
Phone4966195
Phone5022361
Phone5057002
Phone6822189
SWIFT/BICCOMMERZBANK
SWIFT/BICMORTGAGE
SWIFT/BICPIACENZA
Wire RefREFINANCE

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