Bonds Issued

Below you find bonds of the following issuers:

Bayer AG

Volume
(million)
FormatIssue dateMaturity dateCoupon (%)ISIN No.
500 EUREMTNJan 24, 2014Jan 24, 2016
Final Terms:
3-months- Euribor + 0.22%
Download ( PDF, 370 KB )collect
XS1023268060
750 EUREMTNJan 24, 2014Jan 24, 2018
Final Terms:
1.125
Download ( PDF, 349 KB )collect
XS1023268490
350 GBPEMTNMay 23, 2006May 23, 2018
Final Terms:
5.625
Download ( PDF, 914 KB )collect
XS0255605239
750 EUREMTNJan 24, 2014Jan 25, 2021
Final Terms:
1.875
Download ( PDF, 351 KB )collect
XS1023268573
1,500 EURHybridJul 1, 2014Jul 1, 20743.750DE000A11QR73
1,300 EURHybridApr 2, 2015Apr 2, 20752.375DE000A14J611
1,750 EURHybridJul 1, 2014Jul 1, 20753.000DE000A11QR65
1,300 EURHybridJul 29, 2005Jul 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)
FormatIssue dateMaturity dateCoupon (%)ISIN No.
500 EUREMTNNov 12, 2014Nov 13, 20231.25XS1135309794

Bayer Corporation

Volume
(million)
FormatIssue dateMaturity dateCoupon (%)ISIN No.
200 USD144ASept 29, 1995Oct 1, 20157.125US072732AA85
350 USD144AFeb 12, 1998Feb 15, 20286.650US072732AC42

Bayer U.S. Finance LLC

Volume
(million)
FormatIssue dateMaturity dateCoupon (%)ISIN No.
500 USD144AOct 8, 2014Oct 7, 20163-months-USD-Libor + 0.25%US07274EAA10
RegSUSU07264AA98
850 USD144AOct 8, 2014Oct 6, 20171.5US07274EAB92
RegSUSU07264AB71
400 USD144AOct 8, 2014Oct 6, 20173-months-USD-Libor + 0.28%US07274EAC75
RegSUSU07264AC54
2,000 USD144AOct 8, 2014Oct 8, 20192.375US07274EAD58
RegSUSU07264AD38
1,500 USD144AOct 8, 2014Oct 8, 20213.0US07274EAF07
RegSUSU07264AF85
1,750 USD144AOct 8, 2014Oct 8, 20243.375US07274EAG89
RegSUSU07264AG68

Bayer Holding Ltd.

Volume
(million)
FormatIssue dateMaturity dateCoupon (%)ISIN No.
30,000 JPYEMTNApr 5, 2012Apr 5, 2017
Final Terms:
0.816
Download ( PDF, 295 KB )collect
XS0769661843
10,000 JPYEMTNJune 7, 2010June 8, 2017
Final Terms:
1,459
Download ( PDF, 2 MB )collect
XS0515735016
15,000 JPYEMTNDec 19, 2008Dec 19, 2018
Final Terms:
3,575
Download ( PDF, 1 MB )collect
XS0405675009
10,000 JPYEMTNMay 15, 2013May 15, 2019
Final Terms:
0,594
Download ( PDF, 1 MB )collect
XS0931945355

Bayer Nordic SE

Volume
(million)
FormatIssue dateMaturity dateCoupon (%)ISIN No.
200 EUREMTNApr 4, 2013Apr 4, 2016
Final Terms:
3-months-Euribor + 0.35%
Download ( PDF, 116 KB )collect
XS0911791134
500 EUREMTNMar 28, 2014Mar 28, 2017
Final Terms:
3-months-Euribor + 0.22%
Download ( PDF, 282 KB )collect
XS1051000781
Last updated: March 30, 2015 Copyright © Bayer AG