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 | 5,00% p.a. |
Issue price | 100% (EUR 1.000 denomination) |
Duration | 10 years |
Termination | A cancellation is possible according to the terms and conditions. |
Subscription period | 31.1.2013 till 29.3.2013 |
Date of issue | 8.4.2013 |
Amortization | 100% maturity; at 8.4.2023 to denomination |
Paying agency | Österreichische Volksbanken-Aktiengesellschaft (ÖVAG), Kolingasse 14, 1090 Wien |
Market listing | Third market of Vienna stock exchange (Dritter Markt der Wiener Börse) |
ISIN | AT0000A0Z793 |