Obbligazione EWE Group 4.125% ( XS0699330097 ) in EUR

Emittente EWE Group
Prezzo di mercato 100 EUR  ▼ 
Paese  Germania
Codice isin  XS0699330097 ( in EUR )
Tasso d'interesse 4.125% per anno ( pagato 1 volta l'anno)
Scadenza 03/11/2020 - Obbligazione č scaduto



Prospetto opuscolo dell'obbligazione EWE AG XS0699330097 in EUR 4.125%, scaduta


Importo minimo 1 000 EUR
Importo totale 500 000 000 EUR
Descrizione dettagliata EWE AG č una societā energetica tedesca che opera nei settori della fornitura di energia elettrica, gas naturale e telecomunicazioni.

The Obbligazione issued by EWE Group ( Germany ) , in EUR, with the ISIN code XS0699330097, pays a coupon of 4.125% per year.
The coupons are paid 1 time per year and the Obbligazione maturity is 03/11/2020








Pricing Notice dated
25 October 2011



EWE Aktiengesellschaft
(Oldenburg, Federal Republic of Germany)

EUR 500,000,000
4.125 per cent. Notes due 4 November 2020
Issue Price: 99.425 per cent.
ISIN XS0699330097
Common Code 069933009
WKN A1K0ZZ
(the "Notes")
Some of the characteristics of the Notes were only determined upon pricing of the Notes on 24 October
2011. The respective information was therefore not included in the prospectus dated 24 October 2011
(the "Prospectus") and is hereby published.
This document only sets out those characteristics of the Notes that were determined upon pricing only.
Accordingly, this document is not a summary of all material characteristics of the Notes. The
characteristics of the Notes are described in the Prospectus, which ought to be read together with this
document. Unless the context requires otherwise, terms defined in the Terms and Conditions of the
Notes shall have the same meaning when used in this document.


Aggregate Principal Amount:
EUR 500,000,000
Gesamtnennbetrag:
EUR 500.000.000

Number of Notes:
500,000 Notes with a nominal value of
EUR 1,000 each.

Anzahl der Schuldverschreibungen:
500.000 Stück mit einem Nennbetrag von
jeweils EUR 1.000.

Issue Price:
99.425 per cent. of the aggregate principal
amount of the Notes
Ausgabepreis:
99,425 % des Gesamtnennbetrags der
Schuldverschreibungen

Rate of Interest:
4.125 per cent. per annum
Zinssatz:
4,125 % per annum

Net proceeds before deduction of total fees and expenses:
EUR 497,125,000


Yield:
4.203 per cent. per annum