Funding strategy

Our goal is to secure continued and robust access to funding by building long-lasting relationships with our investors. We achieve this by applying a sustainable approach to funding and by acting transparently and predictably.

lastingrelations

Lasting investor relations

Our goal is to build and maintain strong and long-lasting relationships with our investors, domestic as well as international, in order to achieve a robust source of funding for our members, not only today but also in the future. Investors should recognize our sustainable approach to funding prices and our prioritization of frequent interactions.

Diversified market strategy

By diversifying our funding across markets, currencies and investors we strive to secure a persistent and stable source of funding for our members.

We also offer sustainable finance. Since our inaugural green bond issuance in 2017, we have provided a stable source of funding to an array of green public projects. We aim to issue green bonds at least once a year, and we aim to ensure that green loans constitute at least 25 per cent of our total loan portfolio by 2025.

Read more about our green bonds
sources
  1. 1

    Public benchmark in strategic currencies, e.g. EUR, USD and DKK

  2. 2

    Public benchmark in other markets, e.g. GBP, CHF, NOK and SEK

  3. 3

    Short-term funding in the ECP market

  4. 4

    Private placements

Funding sources

We consider the public benchmark funding transactions to be our primary source of funding, and we will issue bonds in our strategic currencies, DKK, EUR and USD, at least once per year. In the CP market, we also issue bonds on a continuous basis primarily with maturities between two weeks and one month and occasionally up to two months. Investors with interests outside our regular benchmark transactions are welcome to reach out regarding funding transactions in private placement format where we issue bonds in plain vanilla format up to 30 years across the G10 currencies.

currenciesandmarkets

Currencies

Investors can expect at least one benchmark transaction from KommuneKredit in DKK, EUR and USD per year given our strategic commitment to these currencies. We recurrently issue private placements, as well as benchmarks, in most G10 currencies.

We have recently been active in the following currencies:

  • EUR
  • USD
  • DKK
  • GBP
  • CHF
  • SEK
  • NOK

Markets

By engaging investors across markets, our goal is to secure a robust source of funding for our members. Investors world wide should occasionally be presented with an opportunity to invest in our bonds.

We diversify our funding across the following markets:

  • The Nordics, including Denmark
  • Europe
  • Americas
  • Asia
  • Australia
documentation

Documentation for debt programmes

Each of our debt programmes are documented according to standards. Please follow the link below to find the terms and conditions.

Our debt programmes
buyback

Buyback policy

We engage in buybacks of debt securities, including bonds for which no two-way market is readily available.

Read more about our buyback policy
buyback

Get in touch with our Funding Team