(Common Code 150410398, ISIN XS1504103984, WKN A2BPFK)
issued by
Pursuant to §5(3) (Early Redemption at the option of the issuer) of the Terms and Conditions, the Issuer hereby gives notice of redemption of all outstanding Notes and provides the following information relating to the redemption of all of its outstanding Notes.
The Issuer will redeem EUR 300,000,000 in aggregate principal amount of the Notes on the Early Call Redemption Date at the Early Call Redemption Amount.
The Issuer provides Holders with the following details with regards to the early redemption of the Notes:
Payment of the Early Call Redemption Amount will be made to the clearing system or to its order for credit to the relevant account holders.
The Principal Paying Agent of the Notes is:
The Early Call Redemption Amount has been calculated by:
Mathias Kiep, Group Director Investor Relations and Corporate Finance
Nicola Gehrt, Director, Head of Group Investor Relations
Tel: +49 (0)511 566 1435
Hazel Chung, Senior Investor Relations Manager
Tel: +44 (0)1293 645 823
Corvin Martens, Senior Investor Relations Manager
Tel: +49 (0)170 566 2321
Ina Klose, Senior Investor Relations Manager
Tel: +49 (0)511 566 1318
Kuzey Alexander Esener, Head of Media Relations
Tel: + 49 (0)511 566 6024