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Bonds issued

  

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:
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Coupon:
ISIN No:

Bayer AG
EUR
200,000,000
EMTN
2008
01-27-2011
4.000
XS0406910496

Issuer:
Currency:
Current volume:
Format:
Year of issue:
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Coupon:
ISIN No:

Bayer AG
EUR
200,000,000
EMTN
2007
04-11-2011
4.375
XS0295205347

Issuer:
Currency:
Current volume:
Format:
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ISIN No:

Bayer AG
EUR
2,000,000,000
EMTN
2002
04-10-2012
6.000
XS0145758040

Issuer:
Currency:
Current volume:
Format:
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ISIN No:

Bayer Holding Ltd.
JPY
30,000,000,000
EMTN
2007
06-28 -2012
Variable
XS0307884436

Issuer:
Currency:
Current volume:
Format:
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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

Issuer:

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Current volume:

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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:
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ISIN No:

Bayer Holding Ltd.
JPY
10.000.000.000
EMTN
2008
07-04-2013
Variable
XS0374144847

Issuer:
Currency:
Current volume:
Format:
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ISIN No:

Bayer Capital Corporation
EUR
1,300,000,000
EMTN
2009
09-26-2014
4.625
XS0420117383

Issuer:
Currency:
Current volume:
Format:
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ISIN No:

Bayer Holding Ltd.
JPY
15,000,000,000
EMTN
2008
12-19-2018
3.575
XS0405675009

Issuer:

Currency:

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ISIN No:

Prospectus:

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 / 60 KB collectHybrid_Bond_Bruttocashflow_Ratio_e.pdf Hybrid Bond Gross Cash Flow Ratio

Issuer:

Currency:

Current volume:

Format:

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Maturity:

Coupon:

ISIN No:

Bayer Corporation
USD
200,000,000
144A
1995
10-01-2015
7.125
US072732AA85

Issuer:

Currency:

Current volume:

Format:

Year of issue:

Maturity:

Coupon:

ISIN No:

Bayer AG
GBP
350,000,000
EMTN
2006
05-23-2018
5.625
XS0255605239

Issuer:

Currency:

Current volume:

Format:

Year of issue:

Maturity:

Coupon:

ISIN No:

Bayer Corporation
USD
350,000,000
144A
1998
02-15-2028
6.650
US072732AC42

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