Note 5

Issued covered bonds

Securities issued at floating interest rates are measured at amortised cost. Securities issued at fixed interest rates are measured at amortised cost as well, and fair value hedge accounting with changes in fair value (due to the hedged risk) recognised in profit and loss is used for the company's securities issued at fixed rate terms.

COVERED BONDS (MNOK)      
ISIN codeCurrencyNominal value 30.06.2016InterestIssueMaturity30.06.201630.06.201531.12.2015
NO0010499841NOK-3M Nibor + 0.50 %20092016-828827
NO0010575079NOK1 5003M Nibor + 0.55 %201020171 4971 4961 497
NO0010588072NOK1 050fixed NOK 4.75 %201020251 3221 2111 272
XS0685790585SEK-3M Stibor + 0.75 %20112015-428-
NO0010657232NOK2 5003M Nibor + 0.65 %201220182 5102 0092 512
XS0828616457SEK7003M Stibor + 0.70 %20122017693669736
NO0010676018NOK2 5003M Nibor + 0.47 %201320192 5032 0072 006
XS0968459361EUR25fixed EUR 2.81 %20132028300236289
XS0984191873EUR306M Euribor + 0.20 %20132020279263288
NO0010696990NOK2 5003M Nibor + 0.45 %201320202 4957991 999
NO0010699028NOK7503M Nibor + 0.37 %20132017750750750
NO0010720204NOK2 5003M Nibor + 0.24 %201420202 4972 4972 497
NO0010730187NOK1 000fixed NOK 1.50 %201520221 017944989
Total securities issued  15 86314 13715 662
Accrued interest  686849
Financial derivatives to hedge securities (liabilities)  4516
Financial derivatives to hedge securities (assets)  -546-343-485
Total borrowings raised through the issue of securities  15 38913 91315 232
COVER POOL (MNOK)30.06.201630.06.201531.12.2015
Pool of eligible loans 1)17 93315 61216 648
Supplementary assets226429688
Total collateralised assets18 15916 04117 336
Collateralisation in %118,0115,3113,8
1) NOK 192 million of total gross loans are not eligible for the cover pool as at 30.06.16.