Issuer: Currency: Current volume: Format: Year of issue: Maturity: Coupon: ISIN No: | Bayer AG EUR 20,000,000 EMTN 2004 08-22-2008 3.490 XS0199679134 |
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ISIN No: | Bayer Corporation EUR 460,000,000 EMTN 2004 01-15-2009 3.750 XS0184291440 |
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ISIN No: | Bayer AG EUR 1,600,000,000 EMTN 2006 05-25-2009 Variable XS0255606989 |
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Adjustment of Conversion Price: | Bayer Capital Corp. B.V. EUR 2,300,000,000 Mandatory Convertible Bond (stand-alone) 2006 06-01-2009 6.625 DE000A0GQN60
PDF / 960 KB collectBayer_MCB_Prospectus_May2006.pdf Bayer_MCB_Prospectus_May2006.pdf PDF / 24 KB collectBayerMandatory_Notice_of_Conversion_Price_adjustment_2008-04-28.pdf Adjustment of Conversion Price 2008
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Issuer: Currency: Current volume: Format: Year of issue: Maturity: Coupon: ISIN No: | Bayer AG EUR 300,000,000 EMTN 2007 04-10-2010 Variable XS0295204969 |
Issuer: Currency: Current volume: Format: Year of issue: Maturity: Coupon: ISIN No: | Bayer Holding Ltd. JPY 10,000,000,000 EMTN 2007 06-28-2010 1.585 XS0307873314 |
Issuer: Currency: Current volume: Format: Year of issue: Maturity: Coupon: ISIN No: | Bayer AG EUR 200,000,000 EMTN 2007 04-11-2011 4.375 XS0295205347 |
Issuer: Currency: Current volume: Format: Year of issue: Maturity: Coupon: ISIN No: | Bayer AG EUR 2,000,000,000 EMTN 2002 04-10-2012 6.000 XS0145758040 |
Issuer: Currency: Current volume: Format: Year of issue: Maturity: Coupon: ISIN No: | Bayer Holding Ltd. JPY 30,000,000,000 EMTN 2007 06-28 -2012 Variable XS0307884436 |
Issuer: Currency: Current volume: Format: Year of issue: Maturity: Coupon: ISIN No: | Bayer Holding Ltd. JPY 15,000,000,000 EMTN 2007 06-28-2012 1.955 XS0307884352 |
Obligor: Currency: Issue volume: Format: Year of issue: Maturity: Coupon: ISIN No: | Bayer Corporation USD 409,385,000 144A 2002 01-02-2013 6.100 US07274AAA97 |
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ISIN No: | Bayer AG EUR 1,000,000,000 EMTN 2006 05-23-2013 4.500 XS0255605825 |
Issuer: Currency: Current volume: Format: Year of issue: Maturity: Coupon: ISIN No: | Bayer Holding Ltd. JPY 10.000.000.000 EMTN 2008 07-04-2013 Variable XS0374144847 |
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Development of Gross Cash Flow Ratio: | Bayer AG EUR 1,300,000,000 Stand-Alone (Hybrid) 2005 07-29-2105 5,000 XS0225369403
PDF / 496 KB collectBayer_Bond_2005_Hybrid_Prospectus.pdf Bayer_Bond_2005_Hybrid_Prospectus.pdf
PDF / 67 KB collectHybrid_Bond_Bruttocashflow_Ratio_e.pdf Hybrid Bond Gross Cash Flow Ratio
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ISIN No: | Bayer Corporation USD 200,000,000 144A 1995 10-01-2015 7.125 US072732AA85 |
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ISIN No: | Bayer AG GBP 350,000,000 EMTN 2006 05-23-2018 5.625 XS0255605239 |
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ISIN No: | Bayer Corporation USD 350,000,000 144A 1998 02-15-2028 6.650 US072732AC42 |