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Bond 2015 - 2025; 4,00% amortizing

Bond Issuer WEB Windenergie AG
Issue volume EUR 8.532.000,00
Denomination EUR 1.000
Interest yield 4,00% 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 23.10.2015 till 14.12.2015
Date of issue 18.12.2015
Intrest payment To be due deferred each year on 17. December during the duration
Amortization yearly a tenth-part of domination each on 17.12., the last on 17.12.2025
Paying agency Volksbank Wien-Baden AG, Schottengasse 10, 1010 Wien
Market listing Third market of Vienna stock exchange (Dritter Markt der Wiener Börse)
ISIN AT0000A1GTP3