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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. |
---|---|---|---|---|---|
500 EUR | EMTN | Jan 24, 2014 | Jan 24, 2016 Final Terms: | 3-months- Euribor + 0.22% Download ( PDF, 370 KB )collect | XS1023268060 |
750 EUR | EMTN | Jan 24, 2014 | Jan 24, 2018 Final Terms: | 1.125 Download ( PDF, 349 KB )collect | XS1023268490 |
350 GBP | EMTN | May 23, 2006 | May 23, 2018 Final Terms: | 5.625 Download ( PDF, 914 KB )collect | XS0255605239 |
750 EUR | EMTN | Jan 24, 2014 | Jan 25, 2021 Final Terms: | 1.875 Download ( PDF, 351 KB )collect | XS1023268573 |
1,500 EUR | Hybrid | Jul 1, 2014 | Jul 1, 2074 | 3.750 | DE000A11QR73 |
1,300 EUR | Hybrid | Apr 2, 2015 | Apr 2, 2075 | 2.375 | DE000A14J611 |
1,750 EUR | Hybrid | Jul 1, 2014 | Jul 1, 2075 | 3.000 | DE000A11QR65 |
1,300 EUR | Hybrid | Jul 29, 2005 | Jul 29, 2105 Final Terms: Cashflow Trigger: | 5.000 Download ( PDF, 485 KB )collectDownload ( PDF, 25 KB )collect | XS0225369403 |
Bayer Capital Corporation B.V.
Volume (million) | Format | Issue date | Maturity date | Coupon (%) | ISIN No. |
---|---|---|---|---|---|
500 EUR | EMTN | Nov 12, 2014 | Nov 13, 2023 | 1.25 | XS1135309794 |
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 U.S. Finance LLC
Volume (million) | Format | Issue date | Maturity date | Coupon (%) | ISIN No. |
---|---|---|---|---|---|
500 USD | 144A | Oct 8, 2014 | Oct 7, 2016 | 3-months-USD-Libor + 0.25% | US07274EAA10 |
RegS | USU07264AA98 | ||||
850 USD | 144A | Oct 8, 2014 | Oct 6, 2017 | 1.5 | US07274EAB92 |
RegS | USU07264AB71 | ||||
400 USD | 144A | Oct 8, 2014 | Oct 6, 2017 | 3-months-USD-Libor + 0.28% | US07274EAC75 |
RegS | USU07264AC54 | ||||
2,000 USD | 144A | Oct 8, 2014 | Oct 8, 2019 | 2.375 | US07274EAD58 |
RegS | USU07264AD38 | ||||
1,500 USD | 144A | Oct 8, 2014 | Oct 8, 2021 | 3.0 | US07274EAF07 |
RegS | USU07264AF85 | ||||
1,750 USD | 144A | Oct 8, 2014 | Oct 8, 2024 | 3.375 | US07274EAG89 |
RegS | USU07264AG68 |
Bayer Holding Ltd.
Volume (million) | Format | Issue date | Maturity date | Coupon (%) | ISIN No. |
---|---|---|---|---|---|
30,000 JPY | EMTN | Apr 5, 2012 | Apr 5, 2017 Final Terms: | 0.816 Download ( PDF, 295 KB )collect | XS0769661843 |
10,000 JPY | EMTN | June 7, 2010 | June 8, 2017 Final Terms: | 1,459 Download ( PDF, 2 MB )collect | XS0515735016 |
15,000 JPY | EMTN | Dec 19, 2008 | Dec 19, 2018 Final Terms: | 3,575 Download ( PDF, 1 MB )collect | XS0405675009 |
10,000 JPY | EMTN | May 15, 2013 | May 15, 2019 Final Terms: | 0,594 Download ( PDF, 1 MB )collect | XS0931945355 |
Bayer Nordic SE
Volume (million) | Format | Issue date | Maturity date | Coupon (%) | ISIN No. |
---|---|---|---|---|---|
200 EUR | EMTN | Apr 4, 2013 | Apr 4, 2016 Final Terms: | 3-months-Euribor + 0.35% Download ( PDF, 116 KB )collect | XS0911791134 |
500 EUR | EMTN | Mar 28, 2014 | Mar 28, 2017 Final Terms: | 3-months-Euribor + 0.22% Download ( PDF, 282 KB )collect | XS1051000781 |