Bond 2013 – 2023; 5,25% amortizing

Bond Issuer WEB Windenergie AG
Issue volume EUR 5.000.000 (increase to EUR 15.000.000 was possible)
Denomination EUR 1.000
Interest yield 5,25% p.a.
Issue price 100% (EUR 1.000 denomination)
Duration 10 years
Termination By bond issuer and bond holder only for a compelling reason
Subscription period 31.1.2013 till 29.3.2013
Date of issue 8.4.2013
Amortization yearly a tenth-part of domination each on 8.4., the last on 8.4.2023
Paying agency Österreichische Volksbanken-Aktien­gesellschaft (ÖVAG), Kolingasse 14, 1090 Wien
Market listing Third market of Vienna stock exchange (Dritter Markt der Wiener Börse)
ISIN AT0000A0Z785