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Bonds Issued

Below you find bonds of the following issuers:

                                                                            Bayer AG

      

Volume
(million)

Format

Issue date

Maturity date

Coupon (%)

ISIN No.

2,000 EUR

EMTN

Apr 10, 2002

Apr 10, 2012

6.000

XS0145758040

    

Final Terms:   PDF / 975 KB collectEUR2000m_6_000_2012.pdf

1,000 EUR

EMTN

May 23, 2006

May 23, 2013

4.500

XS0255605825

    

Final Terms:   PDF / 227 KB collectEUR1000m_4.500_2013.pdf

350 GBP

EMTN

May 23, 2006

May 23, 2018

5.625

XS0255605239

    

Final Terms:   PDF / 936 KB collectGBP100m_5_625_2018.pdf

1,300 EUR

Hybrid

July 29, 2005

July 29, 2105

5.000

XS0225369403

    

Prospectus:   PDF / 496 KB collectBayer_Bond_2005_Hybrid_Prospectus.pdf Bayer_Bond_2005_Hybrid_Prospectus.pdf
Development of Gross Cashflow
Ratio:              PDF / 115 KB collectHybrid_Bond_Bruttocashflow_Ratio_e.pdf Hybrid Bond Gross Cash Flow Ratio

 

                                                                 Bayer Capital Corp. B.V.

      

Volume
(million)

Format

Issue date

Maturity date

Coupon (%)

ISIN No.

1,300 EUR

EMTN

Mar 26, 2009

Sept 26, 2014

4.625

XS0420117383

    

Final Terms:   PDF / 2.09 MB collectEUR1300m_4_625_2014.pdf

 

                                                                       Bayer Corporation

      

Volume
(million)

Format

Issue date

Maturity date

Coupon (%)

ISIN No.

200 USD

144A

Sept 29, 1995

Oct 1, 2015

7.125

US072732AA85

350 USD

144A

Feb 12, 1998

Feb 15, 2028

6.650

US072732AC42

 

                                                                         Bayer Holding Ltd.

      

Volume
(million)

Format

Issue date

Maturity date

Coupon (%)

ISIN No.

15,000 JPY

EMTN

June 28, 2007

June 28, 2012

1.955

XS0307884352

    

Final Terms:   PDF / 2.15 MB collectYEN15000m_1_955_2012.pdf

30,000 JPY

EMTN

June 28, 2007

June 28, 2012

3-month JPY LIBOR + 0.260%

XS0307884436

    

Final Terms:   PDF / 2.48 MB collectYEN30000m_FRN_2012.pdf

10,000 JPY

EMTN

July 4, 2008

July 4, 2013

3-month JPY LIBOR + 0.560%

XS0374144847

    

Final Terms:   PDF / 592 KB collectYEN10000m_FRN_2013.pdf

10,000 JPY

EMTN

June 7, 2010

June 8, 2017

1.459

XS0515735016

    

Final Terms:   PDF / 2.20 MB collectYEN10000m_1_459_2017.pdf

15,000 JPY

EMTN

Dec 19, 2008

Dec 19, 2018

3.575

XS0405675009

    

Final Terms:   PDF / 1.36 MB collectYEN15000m_3_575_2018.pdf

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