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Bond 2015, without due date; 6,50% hybrid

Bond Issuer WEB Windenergie AG
Issue volume EUR 6.727.000,00
Denomination EUR 1.000
Interest yield 6,5% p.a.
Issue price 100% (EUR 1.000 denomination)
Duration starting from 18.12.2015 – unlimited
Cancellation 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
Interest payment For years, in which a dividend payment was not done based on the result of the previous financial year, interest payments may be deferred. If deferred, interest payments will be paid out including compounding interest.
Amortization Unlimited duration. For this reason a date of final repayment is not possible to be determined. Pro-rata repayment of one tenth of the nominal value in years, in which the issuer distributes dividends in connection with the result of the previous financial year.
Paying agency Volksbank Wien-Baden AG, Schottengasse 10, 1010 Wien
Market listing Third market of Vienna stock exchange (Dritter Markt der Wiener Börse)
ISIN AT0000A1GTQ1