LEHMAN BROTHERS SECURITIES N.V. LEHMAN BROTHERS (LUXEMBOURG) EQUITY FINANCE S.A.

Size: px
Start display at page:

Download "LEHMAN BROTHERS SECURITIES N.V. LEHMAN BROTHERS (LUXEMBOURG) EQUITY FINANCE S.A."

Transcription

1 SUPPLEMENTS NO. 2 DATED 6 JUNE 2008 in accordance with 6(2) and 16 of the German Securities Prospectus Act to the two published Base Prospectuses, one per Issuer (together the "Base Prospectus") relating to Derivative Securities dated 28 August 2007, as supplemented by Supplements No. 1 dated 16 May, 2008 LEHMAN BROTHERS SECURITIES N.V. (INCORPORATED IN THE NETHERLANDS ANTILLES) LEHMAN BROTHERS (LUXEMBOURG) EQUITY FINANCE S.A. (INCORPORATED IN THE GRAND DUCHY OF LUXEMBOURG) WARRANT AND CERTIFICATE PROGRAMME UNCONDITIONALLY AND IRREVOCABLY GUARANTEED BY LEHMAN BROTHERS HOLDINGS INC. This Supplements (the "Supplement") informs about and contains the change of the Long-term rating by Standard & Poors Ratings Services with respect to Lehman Brothers Holdings Inc. ("LBHI") as set out in the Base Prospectus and the registration document dated 28 August 2007 of LBHI, as incorporated into the Base Prospectus on page 72 thereof. The Supplement must be read in conjunction with the Base Prospectus dated 28 August 2007 (the "Base Prospectus") as supplemented in respect of the Warrant and Certificate Programme (the "Programme") of Lehman Brothers Securities N.V. and Lehman Brothers (Luxembourg) Equity Finance S.A. (each an "Issuer"). Pursuant to 16, 14 (2) of the German Securities Prospectus Act (Wertpapierprospektgesetz), this Supplement will be published in printed form and will be available at the places stated under section "Documents Available for Inspection" herein. The Bundesanstalt für Finanzdienstleistungsaufsicht ("BaFin") as competent authority under the Directive 2003/71/EC (the "Prospectus Directive") and its implementing measures in the Federal Republic of Germany has approved this Supplement pursuant to 6 (2), 13 (1) and 16 (1) of the German Securities Prospectus Act, which requires the scrutiny of this Supplement in relation to its completeness, coherence and comprehensibility. Investors who have already agreed to purchase or subscribe for Securities to be issued under the Programme prior to the publication of this Supplement are entitled to withdraw their purchase orders pursuant to 16(3) of the German Securities Prospectus Act within two working days after the publication of this Supplement provided that the relevant purchase has not yet been completed. A withdrawal, if any, is to be addressed to the relevant bank or savings bank or any other distributor with whom the relevant agreement to purchase or subscribe has been entered into. Arranger and Dealer Lehman Brothers International (Europe)

2 Table of Contents Clause Page General Information... 3 Amendments to the Base Prospectus... 4 Signature page...s-1 2

3 General Information Definitions Capitalised terms used herein shall be as defined in the Terms and Conditions of the Securities unless otherwise specified elsewhere in the Base Prospectus. Documents Available for Inspection During the period of validity of the Base Prospectus, copies of the Base Prospectus and all Supplements thereto may be inspected and obtained during normal business hours on any weekday (Saturdays and public holidays excepted), free of charge at Bank of New York, Filiale Frankfurt am Main, Bockenheimer Landstraße 24, Frankfurt am Main, Germany, and Lehman Brothers International (Europe), Zweigniederlassung Frankfurt am Main, Rathenauplatz 1, D Frankfurt am Main. 3

4 Amendments to the Base Prospectus This Supplement informs about the following changes in relation to the Base Prospectus as of the date of this Supplement: 1. The Section "Summary", Subsection "Details of the Programme in relation to the Derivative Securities" section "Credit Ratings" on page 20 shall be supplemented by deleting the section Credit Rating in its entirety and replacing it by the following: Credit Ratings As of the date of approval of this Base Prospectus, LBHI has received the following ratings from the rating agencies set out below: Long-term rating Moody s : A1; S&P: A+; Fitch: AA- Short-term rating Moody s : Prime-1; S&P: A-1; Fitch: F1+ LBS and LBEF are not rated. Rating information is merely an aid for investors for the purposes of decision-making and cannot replace an individual assessment as to the suitability of an investment to be made by the investor and may not be taken as a recommendation to purchase or sell certain Derivative Securities. Ratings are merely intended as a support when making an investment decision and are only one of the factors relevant to an evaluation, which factor must be seen and weighted in the context of other factors. As ratings often are amended only after the creditworthiness of an Issuer has changed, investors have to make their own judgments although a rating may exist. With effect of 2 June 2008 Standard & Poor s Ratings Services has lowered the Long-term rating for LBHI from "A+" to "A"." " 2. The section "Zusammenfassung", subsection "Einzelheiten zum Angebotsprogramm hinsichtlich der Derivativen Wertpapiere", section "Ratings" on page 46 shall be supplemented by deleting the section Ratings in its entirety and replacing it by the following: 4

5 Ratings Zum Zeitpunkt der Billigung dieses Basisprospektes hat LBHI von den nachfolgenden Ratingagenturen die folgenden Ratingnoten erhalten: Rating langfristig: Moody s : A1; S&P: A+; Fitch: AA- Rating kurzfristig: Moody s : Prime-1; S&P: A-1; Fitch: F1+ LBS und LBEF verfügen nicht über ein Rating. Ratinginformationen sind für Anleger lediglich eine Entscheidungshilfe und ersetzen nicht die eigene Urteilsbildung eines Anlegers hinsichtlich der Geeignetheit einer Anlage und sind nicht als Kauf- oder Verkaufsempfehlung für bestimmte Derivative Wertpapiere zu verstehen. Das Rating soll lediglich bei einer Anlageentscheidung unterstützen und ist nur ein Faktor in der Beurteilung, der neben anderen gesehen und gewichtet werden muss. Da das Rating oft erst dann geändert wird, wenn sich die Bonität eines Emittenten bereits verändert hat, müssen Anleger sich trotz vorhandenen Ratings ein eigenes Urteil bilden. Mit Wirkung zum 2. Juni 2008 hat Standard & Poor s Ratings Services das langfristige Rating für LBHI von "A+" auf "A" herabgesetzt. 3. The Section "Guarantor Description" on page 72 shall be supplemented by deleting the sentence "The Information relating to the Guarantor is contained in the following documents which shall be deemed to be incorporated in, and to form part of, this Base Prospectus: - the Registration Document dated 28 August 2007 of LBHI." and replacing it by the following: "The Information relating to the Guarantor is contained in the following documents which shall be deemed to be incorporated in, and to form part of, this Base Prospectus: - the Registration Document dated 28 August 2007 of LBHI, subject to the following: The content of the section "Credit Ratings" contained on page 18 of the Registration Document of LBHI as incorporated by reference in this Base Prospectus is supplemented by this Supplement to the Base Prospectus as follows: the section under the heading "Credit Ratings" incorporated from page 18 of the Registration Document of LBHI will be amended by adding the following: With effect of 2 June 2008 Standard & Poor s Ratings Services has lowered the Long-term rating of LBHI from "A+" to "A"." 5

6 4. The Section E. "Selling Restrictions, Taxation and other Conditions applicable to all Derivative Securities", subsection 6) "Additional Information", subsection e) "Credit Rating" on page 110 of the Base Prospectus shall be supplemented by adding the following at the end of such subsection e): "With effect of 2 June 2008 Standard & Poor s Ratings Services has lowered the Long-term rating of LBHI from "A+" to "A"." 6

7 Signature page Lehman Brothers International (Europe), Frankfurt Branch Frankfurt am Main, 6 June 2008 MICHAEL SCHMELZER AUTHORISED SIGNATORY CORNELIA BINIA - AUTHORISED SIGNATORY S-1

HYPO TIROL BANK AG. EUR 5,750,000,000 Debt Issuance Programme (the "Programme")

HYPO TIROL BANK AG. EUR 5,750,000,000 Debt Issuance Programme (the Programme) Third Supplement dated 29 December 2015 to the Prospectus dated 9 June 2015 This document constitutes a supplement (the "Third Supplement") within the meaning of Article 16 of the Directive 2003/71/EC

More information

(Incorporated as a stock corporation in the Republic of Austria under registered number FN 33209 m)

(Incorporated as a stock corporation in the Republic of Austria under registered number FN 33209 m) Prospectus Supplement No. 2 Erste Group Bank AG (Incorporated as a stock corporation in the Republic of Austria under registered number FN 33209 m) EUR 30,000,000,000 Debt Issuance Programme This supplement

More information

Vorarlberger Landes- und Hypothekenbank Aktiengesellschaft

Vorarlberger Landes- und Hypothekenbank Aktiengesellschaft First Supplement dated 21 October 2015 to the Prospectus dated 10 August 2015 This document constitutes a supplement (the "First Supplement") for the purposes of Article 13 of the Luxembourg Law on Prospectuses

More information

Third Supplement to the Debt Issuance Programme Prospectus dated 10 February 2015 Dated 19 August 2015

Third Supplement to the Debt Issuance Programme Prospectus dated 10 February 2015 Dated 19 August 2015 Third Supplement to the Debt Issuance Programme Prospectus dated 10 February 2015 Dated 19 August 2015 This document constitutes a supplement (the "Supplement") for the purposes of Article 16 of Directive

More information

Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 RBS plc

Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 RBS plc Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 On 6 February 2010, ABN AMRO Bank N.V. (registered with the Dutch Chamber

More information

Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 RBS plc

Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 RBS plc Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 On 6 February 2010, ABN AMRO Bank N.V. (registered with the Dutch Chamber

More information

Deutsche Bank Aktiengesellschaft

Deutsche Bank Aktiengesellschaft Deutsche Bank Aktiengesellschaft (Frankfurt am Main, Germany) Programme for the issuance of Certificates, Warrants and Notes This document constitutes a supplement (the "Supplement") to the base prospectus

More information

Deutsche Bank Aktiengesellschaft

Deutsche Bank Aktiengesellschaft Deutsche Bank Aktiengesellschaft (Frankfurt am Main, Germany) Programme for the issuance of Certificates, Warrants and Notes This document constitutes a supplement (the "Supplement") to the base prospectus

More information

Supplement pursuant to Section 16 para (1) German Securities Prospectus Act (Wertpapierprospektgesetz)

Supplement pursuant to Section 16 para (1) German Securities Prospectus Act (Wertpapierprospektgesetz) Supplement pursuant to Section 16 para (1) German Securities Prospectus Act (Wertpapierprospektgesetz) of BNP Paribas Emissions- und Handelsgesellschaft mbh, Frankfurt am Main dated 3 August 2009 to the

More information

Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 RBS plc

Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 RBS plc Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 On 6 February 2010, ABN AMRO Bank N.V. (registered with the Dutch Chamber

More information

Deutsche Bank Aktiengesellschaft

Deutsche Bank Aktiengesellschaft Deutsche Bank Aktiengesellschaft (Frankfurt am Main, Germany) Programme for the issuance of Notes, Certificates and Warrants This document constitutes a supplement (the "Supplement") to the base prospectus

More information

Deutsche Bank Aktiengesellschaft

Deutsche Bank Aktiengesellschaft Deutsche Bank Aktiengesellschaft (Frankfurt am Main, Germany) Programme for the issuance of Certificates, Warrants and Notes This document constitutes a supplement (the "Supplement") to the base prospectus

More information

Raiffeisenlandesbank Oberösterreich Aktiengesellschaft

Raiffeisenlandesbank Oberösterreich Aktiengesellschaft First Supplement dated 2 January2015 to the Debt Issuance Programme Prospectus dated 22 December 2014 This document constitutes a supplement (the "First Supplement") for the purposes of Article 13 of the

More information

Deutsche Bank Aktiengesellschaft

Deutsche Bank Aktiengesellschaft FIRST SUPPLEMENT Deutsche Bank Aktiengesellschaft (Frankfurt am Main, Germany) Programme for the issuance of Certificates, Warrants and Notes This document constitutes a supplement (the "Supplement") to

More information

Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 RBS plc

Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 RBS plc Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 On 6 February 2010, ABN AMRO Bank N.V. (registered with the Dutch Chamber

More information

Deutsche Bank Aktiengesellschaft

Deutsche Bank Aktiengesellschaft Deutsche Bank Aktiengesellschaft (Frankfurt am Main, Germany) Programme for the issuance of Notes, Certificates and Warrants This document constitutes a supplement (the "Supplement") to the base prospectus

More information

First Supplement dated 20 August 2013 to the Debt Issuance Programme Prospectus dated 25 June 2013

First Supplement dated 20 August 2013 to the Debt Issuance Programme Prospectus dated 25 June 2013 First Supplement dated 20 August 2013 to the Debt Issuance Programme Prospectus dated 25 June 2013 This document constitutes a supplement (the Supplement) for the purposes of Article 16 of the Directive

More information

Supplement No. 2 dated 25 September 2013 to the Base Prospectus for Equity linked Notes and Certificates dated 27 June 2013

Supplement No. 2 dated 25 September 2013 to the Base Prospectus for Equity linked Notes and Certificates dated 27 June 2013 Supplement No. 2 dated 25 September to the Base Prospectus for Equity linked Notes and Certificates dated 27 June MORGAN STANLEY & CO. INTERNATIONAL PLC (incorporated with limited liability in England

More information

Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 RBS plc

Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 RBS plc Transfers of securities to The Royal Bank of Scotland plc pursuant to Part VII of the UK Financial Services and Markets Act 2000 On 6 February 2010, ABN AMRO Bank N.V. (registered with the Dutch Chamber

More information

MORGAN STANLEY & CO. INTERNATIONAL PLC (incorporated with limited liability in England and Wales)

MORGAN STANLEY & CO. INTERNATIONAL PLC (incorporated with limited liability in England and Wales) SUPPLEMENT BASE PROSPECTUS FOR FIXED INCOME NOTES BASE PROSPECTUS FOR EQUITY LINKED AND BOND LINKED SECURITIES BASE PROSPECTUS FOR INDEX LINKED SECURITIES BASE PROSPECTUS FOR COMMODITY AND CURRENCY LINKED

More information

Raiffeisenlandesbank Oberösterreich Aktiengesellschaft

Raiffeisenlandesbank Oberösterreich Aktiengesellschaft Fifth Supplement dated 29 October 2014 to the Debt Issuance Programme Prospectus dated 29 November 2013 This document constitutes a supplement (the "Fifth Supplement") for the purposes of Article 13 of

More information

THIRD PROSPECTUS SUPPLEMENT DATED 19 JANUARY 2012 TO THE BASE PROSPECTUS DATED 7 JUNE 2011 CAISSE D'AMORTISSEMENT DE LA DETTE SOCIALE

THIRD PROSPECTUS SUPPLEMENT DATED 19 JANUARY 2012 TO THE BASE PROSPECTUS DATED 7 JUNE 2011 CAISSE D'AMORTISSEMENT DE LA DETTE SOCIALE THIRD PROSPECTUS SUPPLEMENT DATED 19 JANUARY 2012 TO THE BASE PROSPECTUS DATED 7 JUNE 2011 CAISSE D'AMORTISSEMENT DE LA DETTE SOCIALE Établissement public national administratif (French national public

More information

SECOND PROSPECTUS SUPPLEMENT DATED 28 NOVEMBER 2012 TO THE BASE PROSPECTUS DATED 18 JUNE 2012 CAISSE D'AMORTISSEMENT DE LA DETTE SOCIALE

SECOND PROSPECTUS SUPPLEMENT DATED 28 NOVEMBER 2012 TO THE BASE PROSPECTUS DATED 18 JUNE 2012 CAISSE D'AMORTISSEMENT DE LA DETTE SOCIALE SECOND PROSPECTUS SUPPLEMENT DATED 28 NOVEMBER 2012 TO THE BASE PROSPECTUS DATED 18 JUNE 2012 CAISSE D'AMORTISSEMENT DE LA DETTE SOCIALE Établissement public national administratif (French national public

More information

PROSPECTUS SUPPLEMENT

PROSPECTUS SUPPLEMENT PROSPECTUS SUPPLEMENT INTESA SANPAOLO S.p.A. (incorporated as a società per azioni in the Republic of Italy) as Issuer and, in respect of Notes issued by Intesa Sanpaolo Bank Ireland p.l.c. and by Société

More information

ELECTRICITY SUPPLY BOARD (a body corporate established in Ireland under the Electricity (Supply) Acts 1927-2004 of Ireland)

ELECTRICITY SUPPLY BOARD (a body corporate established in Ireland under the Electricity (Supply) Acts 1927-2004 of Ireland) OFFERING CIRCULAR SUPPLEMENT ELECTRICITY SUPPLY BOARD (a body corporate established in Ireland under the Electricity (Supply) Acts 1927-2004 of Ireland) ESB FINANCE LIMITED (a private company incorporated

More information

SUPPLEMENT NUMBER 1 DATED 1 APRIL 2015 TO THE BASE PROSPECTUS DATED 21 AUGUST 2014

SUPPLEMENT NUMBER 1 DATED 1 APRIL 2015 TO THE BASE PROSPECTUS DATED 21 AUGUST 2014 SUPPLEMENT NUMBER 1 DATED 1 APRIL 2015 TO THE BASE PROSPECTUS DATED 21 AUGUST 2014 ANHEUSER-BUSCH INBEV SA/NV (a public limited liability company with registered office at Grand-Place/Grote Markt 1, 1000

More information

FINAL TERMS. relating to COMMERZBANK AKTIENGESELLSCHAFT

FINAL TERMS. relating to COMMERZBANK AKTIENGESELLSCHAFT FINAL TERMS relating to COMMERZBANK AKTIENGESELLSCHAFT 20,000 Certificates Linked to the Performance of the the ishares MSCI Brazil Index Fund (ISIN: US4642864007) issued by ishares, Inc. issued under

More information

SUPPLEMENT NUMBER 1 DATED 3 OCTOBER 2008 TO THE BASE PROSPECTUS DATED 23 SEPTEMBER 2008

SUPPLEMENT NUMBER 1 DATED 3 OCTOBER 2008 TO THE BASE PROSPECTUS DATED 23 SEPTEMBER 2008 SUPPLEMENT NUMBER 1 DATED 3 OCTOBER 2008 TO THE BASE PROSPECTUS DATED 23 SEPTEMBER 2008 Fortis Bank NV/SA (Incorporated as a public company with limited liability (Naamloze Vennootschap/Société Anonyme)

More information

ING (US) ISSUANCE LLC REGISTRATION DOCUMENT

ING (US) ISSUANCE LLC REGISTRATION DOCUMENT Dated 15 May 2009 ING (US) ISSUANCE LLC REGISTRATION DOCUMENT Table of Contents Page INTRODUCTION... 1 DOCUMENTS INCORPORATED BY REFERENCE... 3 RISK FACTORS... 4 DESCRIPTION OF ING (US) ISSUANCE LLC....

More information

FINAL TERMS. Bank of Montreal

FINAL TERMS. Bank of Montreal FINAL TERMS THE COVERED BONDS HAVE NOT BEEN APPROVED OR DISAPPROVED BY CANADA MORTGAGE AND HOUSING CORPORATION (CMHC) NOR HAS CMHC PASSED UPON THE ACCURACY OR ADEQUACY OF THESE FINAL TERMS. THE COVERED

More information

CITIFIRST PRODUCT PROGRAMME. Citibank International plc. Arranger

CITIFIRST PRODUCT PROGRAMME. Citibank International plc. Arranger CITIFIRST PRODUCT PROGRAMME Citibank International plc Arranger Citigroup Global Markets Limited BASE PROSPECTUS FOR THE ISSUANCE OF SECURITIES THIS DOCUMENT COMPRISES A BASE PROSPECTUS FOR THE PURPOSES

More information

Deutsche Pfandbriefbank AG Munich, Federal Republic of Germany. Euro 50,000,000,000 Debt Issuance Programme (the Programme )

Deutsche Pfandbriefbank AG Munich, Federal Republic of Germany. Euro 50,000,000,000 Debt Issuance Programme (the Programme ) Pursuant to article 16 para. 3 of the German Securities Prospectus Act investors who have already agreed to purchase or subscribe for Notes issued under the Programme (as defined herein) before this Seventh

More information

F. van Lanschot Bankiers N.V. (incorporated in the Netherlands with its statutory seat in 's-hertogenbosch)

F. van Lanschot Bankiers N.V. (incorporated in the Netherlands with its statutory seat in 's-hertogenbosch) 20 December 2012 FIFTH SUPPLEMENT TO THE BASE PROSPECTUS IN RESPECT OF THE EURO 5,000,000,000 DEBT ISSUANCE PROGRAMME F. van Lanschot Bankiers N.V. (incorporated in the Netherlands with its statutory seat

More information

ak åsåietåååi'råti AGENCE FRANçAISE DE DÉVELOPPEMENT EURO 25,000,000,000

ak åsåietåååi'råti AGENCE FRANçAISE DE DÉVELOPPEMENT EURO 25,000,000,000 V.AFD 22.07.13 FIRST PROSPECTUS SUPPLEMENT DÄTED [23] JULY 2013 TO THE BASE PROSPECTUS DATED 19 JUNE 2OI3 ak åsåietåååi'råti AGENCE FRANçAISE DE DÉVELOPPEMENT EURO 25,000,000,000 Euro Medium Term Note

More information

HEWLETT-PACKARD COMPANY 2011 EMPLOYEE STOCK PURCHASE PLAN ( ESPP )

HEWLETT-PACKARD COMPANY 2011 EMPLOYEE STOCK PURCHASE PLAN ( ESPP ) This prospectus supplement (the Prospectus Supplement ) is supplemental to, forms part of, and must be read in conjunction with the prospectus published by Hewlett-Packard Company ( HP or the Company )

More information

Multi Express Certificate with Fix Coupon Linked to WTI Crude Oil & Gold Issued by UBS AG, London Branch

Multi Express Certificate with Fix Coupon Linked to WTI Crude Oil & Gold Issued by UBS AG, London Branch Multi Express Certificate with Fix Coupon Linked to WTI Crude Oil & Gold Issued by UBS AG, London Branch Cash settled EUSIPA Product Type: Express Certificate (1260) / ISIN: DE000UBS6DT2 Information on

More information

Microsoft Certified IT Professional (MCITP) MCTS: Windows 7, Configuration (070-680)

Microsoft Certified IT Professional (MCITP) MCTS: Windows 7, Configuration (070-680) Microsoft Office Specialist Office 2010 Specialist Expert Master Eines dieser Examen/One of these exams: Eines dieser Examen/One of these exams: Pflichtexamen/Compulsory exam: Word Core (Exam 077-881)

More information

10,000,000,000 Debt Issuance Programme

10,000,000,000 Debt Issuance Programme Österreichische Volksbanken-Aktiengesellschaft (incorporated as a stock corporation in the Republic of ) Prospectus Supplement No. 5 relating to the 10,000,000,000 Debt Issuance Programme This supplement

More information

GlaxoSmithKline plc (incorporated in England and Wales with limited liability under registered number 3888792)

GlaxoSmithKline plc (incorporated in England and Wales with limited liability under registered number 3888792) REGISTRATION DOCUMENT (incorporated in England and Wales with limited liability under registered number 3888792) GlaxoSmithKline Capital Inc. (incorporated in the State of Delaware with limited liability

More information

FOURTH SUPPLEMENT TO THE BASE PROSPECTUS DATED 11 JULY 2011 RELATING TO THE DEBT ISSUANCE PROGRAMME OF SNS BANK N.V. AND SNS REAAL N.V.

FOURTH SUPPLEMENT TO THE BASE PROSPECTUS DATED 11 JULY 2011 RELATING TO THE DEBT ISSUANCE PROGRAMME OF SNS BANK N.V. AND SNS REAAL N.V. FOURTH SUPPLEMENT TO THE BASE PROSPECTUS DATED 11 JULY 2011 RELATING TO THE DEBT ISSUANCE PROGRAMME OF SNS BANK N.V. AND SNS REAAL N.V. DATED 25 May 2012 SNS BANK N.V. (incorporated under the laws of The

More information

RAIFFEISEN ZENTRALBANK ÖSTERREICH AKTIENGESELLSCHAFT

RAIFFEISEN ZENTRALBANK ÖSTERREICH AKTIENGESELLSCHAFT Second Supplement dated 27 April 2015 to the Debt Issuance Programme Prospectus dated 30 September 2014 RAIFFEISEN ZENTRALBANK ÖSTERREICH AKTIENGESELLSCHAFT EUR 5,000,000,000 Debt Issuance Programme (the

More information

FINAL TERMS. 11 September 2012

FINAL TERMS. 11 September 2012 FINAL TERMS Capitalised words and expressions used in these Final Terms shall, save to the extent otherwise defined therein, have the meanings given thereto in the relevant Terms and Conditions and in

More information

Upgrading Your Skills to MCSA Windows Server 2012 MOC 20417

Upgrading Your Skills to MCSA Windows Server 2012 MOC 20417 Upgrading Your Skills to MCSA Windows Server 2012 MOC 20417 In dieser Schulung lernen Sie neue Features und Funktionalitäten in Windows Server 2012 in Bezug auf das Management, die Netzwerkinfrastruktur,

More information

Final Terms dated 25 June 2013. ROYAL BANK OF CANADA (a Canadian chartered bank)

Final Terms dated 25 June 2013. ROYAL BANK OF CANADA (a Canadian chartered bank) Final Terms dated 25 June 2013 ROYAL BANK OF CANADA (a Canadian chartered bank) Issue of USD 80,000,000 4.20 per cent. Fixed Rate Notes due 25 June 2038 under the Programme for the Issuance of Securities

More information

Open Joint Stock Company Gazprom

Open Joint Stock Company Gazprom EXECUTION COPY FINAL TERMS DATED 9 APRIL 2008 Open Joint Stock Company Gazprom Series 17 U.S.$1,100,000,000 8.146 per cent. Loan Participation Notes due 11 April 2018 issued by, but with limited recourse

More information

2018-04 SEK ING Sprinter Sverige ING Bank NV (NL) 20 Units Outperformance Bonus Certificates linked to OMX due 2018-04

2018-04 SEK ING Sprinter Sverige ING Bank NV (NL) 20 Units Outperformance Bonus Certificates linked to OMX due 2018-04 2018-04 SEK ING Sprinter Sverige ING Bank NV (NL) 20 Units Outperformance Bonus Certificates linked to OMX due 2018-04 Product Description This 5YR SEK Outperformance Bonus Certificate is linked to the

More information

LEHMAN BROTHERS TREASURY CO. B.V. (incorporated with limited liability in The Netherlands and having its statutory domicile in Amsterdam)

LEHMAN BROTHERS TREASURY CO. B.V. (incorporated with limited liability in The Netherlands and having its statutory domicile in Amsterdam) SUMMARY NOTE dated 8 August 2008 LEHMAN BROTHERS TREASURY CO. B.V. (incorporated with limited liability in The Netherlands and having its statutory domicile in Amsterdam) Issue of up to EUR 25,000,000

More information

LEARNING AGREEMENT FOR STUDIES

LEARNING AGREEMENT FOR STUDIES LEARNING AGREEMENT FOR STUDIES The Student Last name (s) First name (s) Date of birth Nationality 1 Sex [M/F] Academic year 20../20.. Study cycle EQF level 6 Subject area, Code Phone E-mail 0421 The Sending

More information

SECOND AMENDMENT AGREEMENT. Relating to the MASTER FINANCIAL ASSISTANCE FACILITY AGREEMENT. between EUROPEAN FINANCIAL STABILITY FACILITY

SECOND AMENDMENT AGREEMENT. Relating to the MASTER FINANCIAL ASSISTANCE FACILITY AGREEMENT. between EUROPEAN FINANCIAL STABILITY FACILITY FINAL DRAFT 12 DECEMBER 2014 SECOND AMENDMENT AGREEMENT Relating to the MASTER FINANCIAL ASSISTANCE FACILITY AGREEMENT (as amended by an Amendment Agreement dated 12 December 2012) between EUROPEAN FINANCIAL

More information

SUPPLEMENT DATED 14 NOVEMBER 2014 TO THE BASE PROSPECTUS DATED 9 JULY 2014

SUPPLEMENT DATED 14 NOVEMBER 2014 TO THE BASE PROSPECTUS DATED 9 JULY 2014 SUPPLEMENT DATED 14 NOVEMBER 2014 TO THE BASE PROSPECTUS DATED 9 JULY 2014 BBVA Global Markets B.V. (a private company with limited liability (besloten vennootschap met beperkte aansprakelijkheid) incorporated

More information

FINAL TERMS TELEFÓNICA EMISIONES, S.A.U.

FINAL TERMS TELEFÓNICA EMISIONES, S.A.U. FINAL TERMS Final Terms dated 21 March 2012 TELEFÓNICA EMISIONES, S.A.U. Issue of CZK 1,250,000,000 3.934 per cent. Instruments due March 2017 Guaranteed by TELEFÓNICA, S.A. under the EUR 40,000,000,000

More information

Siem Offshore Inc. Supplementing information contained in the Prospectus dated 17 August 2015 concerning the Rights Issue in Siem Offshore Inc.

Siem Offshore Inc. Supplementing information contained in the Prospectus dated 17 August 2015 concerning the Rights Issue in Siem Offshore Inc. Siem Offshore Inc. Supplementing information contained in the Prospectus dated 17 August 2015 concerning the Rights Issue in Siem Offshore Inc. This document (the Supplemental Prospectus ) is a supplement

More information

PROSPECTUS Hypo Real Estate Bank International AG, Stuttgart ESTATE US-1

PROSPECTUS Hypo Real Estate Bank International AG, Stuttgart ESTATE US-1 PROSPECTUS Hypo Real Estate Bank International AG, Stuttgart ESTATE US-1 USD 700,000 Class A1+ Floating Rate Amortising Credit-Linked Notes Issue Price: 100% USD 14,300,000 Class A2 Floating Rate Amortising

More information

FINAL TERMS DATED 20 April 2015. BNP Paribas Arbitrage Issuance B.V. (incorporated in The Netherlands) (as Issuer) BNP Paribas

FINAL TERMS DATED 20 April 2015. BNP Paribas Arbitrage Issuance B.V. (incorporated in The Netherlands) (as Issuer) BNP Paribas FINAL TERMS DATED 20 April 2015 BNP Paribas Arbitrage Issuance B.V. (incorporated in The Netherlands) (as Issuer) BNP Paribas (incorporated in France) (as Guarantor) (Note, Warrant and Certificate Programme)

More information

APPLICABLE FINAL TERMS

APPLICABLE FINAL TERMS APPLICABLE FINAL TERMS 10 May 2016 CNH INDUSTRIAL FINANCE EUROPE S.A. Issue of 500,000,000 2.875 per cent. Notes due 17 May 2023 Guaranteed by CNH Industrial N.V. under the 10,000,000,000 Global Medium

More information

Deutsche Bank Capital Funding Trust XI Wilmington, Delaware, United States of America (a wholly owned subsidiary of Deutsche Bank Aktiengesellschaft)

Deutsche Bank Capital Funding Trust XI Wilmington, Delaware, United States of America (a wholly owned subsidiary of Deutsche Bank Aktiengesellschaft) Prospectus 21 August 2009 Deutsche Bank Capital Funding Trust XI Wilmington, Delaware, United States of America (a wholly owned subsidiary of Deutsche Bank Aktiengesellschaft) [ ] [ ]% Non-cumulative Trust

More information

FINAL TERMS. Not Applicable

FINAL TERMS. Not Applicable 2 June 2015 ESB Finance Limited (ESB Finance) FINAL TERMS ESB Finance Issue of EUR 500,000,000 2.125 per cent. Notes due 8 June 2027 unconditionally and irrevocably guaranteed by Electricity Supply Board

More information

SUPPLEMENT DATED 24 MAY 2016 TO THE BASE PROSPECTUSES LISTED IN THE SCHEDULE. Credit Suisse AG Credit Suisse International

SUPPLEMENT DATED 24 MAY 2016 TO THE BASE PROSPECTUSES LISTED IN THE SCHEDULE. Credit Suisse AG Credit Suisse International SUPPLEMENT DATED 24 MAY 2016 TO THE BASE PROSPECTUSES LISTED IN THE SCHEDULE Credit Suisse AG Credit Suisse International pursuant to the Structured Products Programme for the issuance of Notes, Certificates

More information

Pricing Supplement dated August 7, ROYAL BANK OF CANADA (a Canadian chartered bank)

Pricing Supplement dated August 7, ROYAL BANK OF CANADA (a Canadian chartered bank) IMPORTANT NOTICE In accessing the attached pricing supplement (the Pricing Supplement ) you agree to be bound by the following terms and conditions. The information contained in the Pricing Supplement

More information

Deutsche Bank Aktiengesellschaft

Deutsche Bank Aktiengesellschaft Information Memorandum May 11, 2006 Deutsche Bank Aktiengesellschaft Frankfurt am Main, Germany as Issuer Euro 10,000,000,000 Commercial Paper Programme Arranger Deutsche Bank Dealer Deutsche Bank Issuing

More information

FINAL TERMS. MEDIOBANCA INTERNATIONAL (Luxembourg) S.A. Issue of EUR 65,000,000 Senior Unsecured 0.83% Fixed Rate Notes due.

FINAL TERMS. MEDIOBANCA INTERNATIONAL (Luxembourg) S.A. Issue of EUR 65,000,000 Senior Unsecured 0.83% Fixed Rate Notes due. FINAL TERMS MEDIOBANCA INTERNATIONAL (Luxembourg) S.A. Issue of EUR 65,000,000 Senior Unsecured 0.83% Fixed Rate Notes due 8 th April 2020 under the Euro 40,000,000,000 Euro Medium Term Note Programme

More information

FINAL TERMS. relating to COMMERZBANK AKTIENGESELLSCHAFT. EUR 20,000,000 Fixed Rate Notes of 2007/2008. issued under the. Notes/Certificates Programme

FINAL TERMS. relating to COMMERZBANK AKTIENGESELLSCHAFT. EUR 20,000,000 Fixed Rate Notes of 2007/2008. issued under the. Notes/Certificates Programme FINAL TERMS relating to COMMERZBANK AKTIENGESELLSCHAFT EUR 20,000,000 Fixed Rate Notes of 2007/2008 issued under the Notes/Certificates Programme of COMMERZBANK AKTIENGESELLSCHAFT Date of the Final Terms:

More information

FINAL TERMS. relating to COMMERZBANK AKTIENGESELLSCHAFT. EUR 10,000,000 Structured Notes of 2007/2010. issued under the. Notes/Certificates Programme

FINAL TERMS. relating to COMMERZBANK AKTIENGESELLSCHAFT. EUR 10,000,000 Structured Notes of 2007/2010. issued under the. Notes/Certificates Programme FINAL TERMS relating to COMMERZBANK AKTIENGESELLSCHAFT EUR 10,000,000 Structured Notes of 2007/2010 issued under the Notes/Certificates Programme of COMMERZBANK AKTIENGESELLSCHAFT Date of the Final Terms:

More information

Credit Suisse AG Credit Suisse International

Credit Suisse AG Credit Suisse International SUPPLEMENT DATED 12 NOVEMBER 2013 TO THE PROSPECTUSES LISTED IN THE SCHEDULE Credit Suisse AG Credit Suisse International pursuant to the Structured Products Programme for the Issuance of Notes, Certificates

More information

7 IX. Equity (EEA Prospectus Directive) this is provisionally deleted pending review

7 IX. Equity (EEA Prospectus Directive) this is provisionally deleted pending review ICMA PRIMARY MARKET HANDBOOK (IPMA HANDBOOK) Section Seven Standard Documentation & Standard Language 7 IX Standard Form Selling Restrictions A B Debt (UK) Equity (EEA Prospectus Directive) this is provisionally

More information

Department of Geography - Birgit Sattler - University of Duisburg-Essen ILIAS. in geography and landscape architecture

Department of Geography - Birgit Sattler - University of Duisburg-Essen ILIAS. in geography and landscape architecture ILIAS in geography and landscape architecture ILIAS in geography and landscape architecture computer skills and internet access of the students practical experience with ILIAS selected evaluation results

More information

Non-collateralised Structured Products Launch Announcement for Callable Bull/Bear Contracts ("CBBCs")

Non-collateralised Structured Products Launch Announcement for Callable Bull/Bear Contracts (CBBCs) This announcement appears for information purposes only and does not constitute an invitation or offer to acquire, purchase or subscribe for the CBBCs described below. Hong Kong Exchanges and Clearing

More information

SOUTH AUSTRALIAN GOVERNMENT FINANCING AUTHORITY ( SAFA ) 2.75% 16 April 2025 Select Line SAFA Bonds Series: Tranche One.

SOUTH AUSTRALIAN GOVERNMENT FINANCING AUTHORITY ( SAFA ) 2.75% 16 April 2025 Select Line SAFA Bonds Series: Tranche One. SOUTH AUSTRALIAN GOVERNMENT FINANCING AUTHORITY ( SAFA ) 2.75% 16 April 2025 Select Line SAFA Bonds Series: Tranche One FINAL Term Sheet South Australian Government Financing Authority State Administration

More information

COCA-COLA HBC FINANCE B.V. COCA-COLA HELLENIC BOTTLING COMPANY S.A.

COCA-COLA HBC FINANCE B.V. COCA-COLA HELLENIC BOTTLING COMPANY S.A. Supplementary Prospectus number 4 dated 30 November 2012 to the Base Prospectus dated 10 April 2012 COCA-COLA HBC FINANCE B.V. (the "Issuer") (a private limited liability company incorporated under the

More information

Credit Suisse AG acting through its London Branch

Credit Suisse AG acting through its London Branch Credit Suisse AG acting through its London Branch USD 50,000,000 CALLABLE RMS RANGE ACCRUAL NOTES DUE 2021 Series SPLB 2011-269 (the Securities ) Issue Price: 100 per cent. of the Aggregate Nominal Amount

More information

SIMPLIFIED PROSPECTUS JULY 2010 GENERAL INFORMATION

SIMPLIFIED PROSPECTUS JULY 2010 GENERAL INFORMATION BNP PARIBAS INSTICASH EUR A sub-fund of BNP Paribas InstiCash, a Luxembourg-based investment company with variable capital (Société d investissement à capital variable, referred to hereinafter as the "SICAV")

More information

NATIONAL BANK OF CANADA (a Canadian chartered bank)

NATIONAL BANK OF CANADA (a Canadian chartered bank) FINAL TERMS Final Terms dated March 21, 2014 NATIONAL BANK OF CANADA (a Canadian chartered bank) Issue of 1,000,000,000 1.50% Series CBL 2 Covered Bonds due March 25, 2021 under the U.S.$7,000,000,000

More information

13 March 2014 PART A CONTRACTUAL TERMS

13 March 2014 PART A CONTRACTUAL TERMS 13 March 2014 VOLVO TREASURY AB (publ) (the Issuer ) Issue of SEK 1,750,000,000 Fixed Rate Notes due 17 March 2016 guaranteed by AB Volvo (publ) (the Guarantor ) issued pursuant to the U.S.$15,000,000,000

More information

50,000,000 European Style Index Put Warrants. relating to the Hang Seng Index. issued by. Deutsche Bank AG

50,000,000 European Style Index Put Warrants. relating to the Hang Seng Index. issued by. Deutsche Bank AG Supplemental Listing Document If you are in any doubt as to any aspect of this document, you should consult your stockbroker or other registered dealer in securities, bank manager, solicitor, accountant

More information

Supplement. to the Prospectus dated 20 May 2011 UniCredit Bank AG Munich, Federal Republic of Germany

Supplement. to the Prospectus dated 20 May 2011 UniCredit Bank AG Munich, Federal Republic of Germany This document constitutes a supplement to twelve base prospectuses dated 20 May 2011, 14 June 2010, 20 May 2010, 20 May 2009, 4 March 2009, 11 March 2008, 25 June 2007 and 27 June 2006, each as supplemented

More information

IDB Trust Services Limited. Issue of U.S.$1,000,000,000 Trust Certificates due 2018

IDB Trust Services Limited. Issue of U.S.$1,000,000,000 Trust Certificates due 2018 Final Terms dated 2 June 2013 IDB Trust Services Limited Issue of U.S.$1,000,000,000 Trust Certificates due 2018 with, inter alia, the benefit of a Guarantee (in respect of the payment obligations arising

More information

FIRST AMENDMENT TO BA MASTER CREDIT CARD TRUST II THIRD AMENDED AND RESTATED POOLING AND SERVICING AGREEMENT

FIRST AMENDMENT TO BA MASTER CREDIT CARD TRUST II THIRD AMENDED AND RESTATED POOLING AND SERVICING AGREEMENT EXECUTION COPY FIRST AMENDMENT TO BA MASTER CREDIT CARD TRUST II THIRD AMENDED AND RESTATED POOLING AND SERVICING AGREEMENT THIS FIRST AMENDMENT TO THE BA MASTER CREDIT CARD TRUST II THIRD AMENDED AND

More information

https://cockpit.eqs.com/cgi-bin/main.ssp?fn=voting_right_transaction_print_version&...

https://cockpit.eqs.com/cgi-bin/main.ssp?fn=voting_right_transaction_print_version&... Seite 1 von 12 Deutsch DGAP Stimmrechtsmitteilung: Continental AG Veröffentlichung gemäß 26 Abs. 1 WpHG mit dem Ziel der europaweiten Verbreitung Veröffentlichung einer Stimmrechtsmitteilung übermittelt

More information

International Personal Finance plc (incorporated with limited liability in England and Wales with registered number 06018973)

International Personal Finance plc (incorporated with limited liability in England and Wales with registered number 06018973) SUPPLEMENTARY PROSPECTUS DATED 27 AUGUST 2015 International Personal Finance plc (incorporated with limited liability in England and Wales with registered number 06018973) unconditionally and irrevocably

More information

PRICING SUPPLEMENT CONTRACTUAL TERMS

PRICING SUPPLEMENT CONTRACTUAL TERMS PRICING SUPPLEMENT 16 December 2010 European Bank for Reconstruction and Development USD 230,000,000 Callable Zero Coupon Notes due 20 December 2040 issued pursuant to a Global Medium Term Note Programme

More information

Determination of the intervals of periodic inspections for composite pressure receptacles

Determination of the intervals of periodic inspections for composite pressure receptacles EN Determination of the intervals of periodic inspections for composite pressure receptacles executed by the competent authority according to RID/ADR/IMDG-Code 4.1.4.1 P 200 (8), also including IATA-Dangerous

More information

Exemplar for Internal Achievement Standard. German Level 1

Exemplar for Internal Achievement Standard. German Level 1 Exemplar for Internal Achievement Standard German Level 1 This exemplar supports assessment against: Achievement Standard 90885 Interact using spoken German to communicate personal information, ideas and

More information

Vergleich der Versionen von Kapitel 1 des EU-GMP-Leitfaden (Oktober 2012) 01 July 2008 18 November 2009 31 Januar 2013 Kommentar Maas & Peither

Vergleich der Versionen von Kapitel 1 des EU-GMP-Leitfaden (Oktober 2012) 01 July 2008 18 November 2009 31 Januar 2013 Kommentar Maas & Peither Chapter 1 Quality Management Chapter 1 Quality Management System Chapter 1 Pharmaceutical Quality System Principle The holder of a Manufacturing Authorisation must manufacture medicinal products so as

More information

Bei Fragen zu dieser Änderung wenden Sie sich bitte an Ihren Kundenbetreuer, der Ihnen gerne weiterhilft.

Bei Fragen zu dieser Änderung wenden Sie sich bitte an Ihren Kundenbetreuer, der Ihnen gerne weiterhilft. FIL Investment Management (Luxembourg) S.A. 2a rue Albert Borschette, L-1246 B.P. 2174, L-1021 Luxembourg Tél: +352 250 404 1 Fax: +352 26 38 39 38 R.C.S. Luxembourg B 88635 Dezember 2014 Wichtige Ankündigung:

More information

ING Europe Invest Autocall 2020

ING Europe Invest Autocall 2020 5,00% potential annual yield Maturity: 4 years maximum Risk profile: see page 4 Capital not guaranteed at Maturity by the Issuer Risk class peculiar to ING Luxembourg* 0 1 2 3 4 5 6 Description ING Europe

More information

SUPPLEMENT DATED 11 AUGUST 2016 TO THE BASE PROSPECTUSES LISTED IN THE SCHEDULE. Credit Suisse AG Credit Suisse International

SUPPLEMENT DATED 11 AUGUST 2016 TO THE BASE PROSPECTUSES LISTED IN THE SCHEDULE. Credit Suisse AG Credit Suisse International SUPPLEMENT DATED 11 AUGUST 2016 TO THE BASE PROSPECTUSES LISTED IN THE SCHEDULE Credit Suisse AG Credit Suisse International pursuant to the Structured Products Programme for the issuance of Notes, Certificates

More information

ishares IV Public Limited Company

ishares IV Public Limited Company ishares IV Public Limited Company (An umbrella investment company with variable capital and having segregated liability between its Funds incorporated with limited liability in Ireland under registration

More information

AMENDING AGREEMENT TO TRUST DEED. THIS AMENDING AGREEMENT TO TRUST DEED (this Agreement ) is made as of the 17 th day of December, 2014.

AMENDING AGREEMENT TO TRUST DEED. THIS AMENDING AGREEMENT TO TRUST DEED (this Agreement ) is made as of the 17 th day of December, 2014. AMENDING AGREEMENT TO TRUST DEED THIS AMENDING AGREEMENT TO TRUST DEED (this Agreement ) is made as of the 17 th day of December, 2014. BY AND AMONG (1) NATIONAL BANK OF CANADA, a bank named in Schedule

More information

Final Terms. IDB Trust Services Limited Issue of U.S.$1,500,000,000 Trust Certificates due 2019

Final Terms. IDB Trust Services Limited Issue of U.S.$1,500,000,000 Trust Certificates due 2019 Final Terms 4 March 2014 IDB Trust Services Limited Issue of U.S.$1,500,000,000 Trust Certificates due 2019 with, inter alia, the benefit of a Guarantee (in respect of the payment obligations arising under

More information

Non-collateralised Structured Products. Goldman Sachs Structured Products (Asia) Limited (incorporated in the Cayman Islands with limited liability)

Non-collateralised Structured Products. Goldman Sachs Structured Products (Asia) Limited (incorporated in the Cayman Islands with limited liability) Hong Kong Exchanges and Clearing Limited, The Stock Exchange of Hong Kong Limited (the Stock Exchange) and Hong Kong Securities Clearing Company Limited take no responsibility for the contents of this

More information

Final Terms dated 18 January 2012. Credit Suisse AG. acting through its London Branch

Final Terms dated 18 January 2012. Credit Suisse AG. acting through its London Branch Final Terms dated 18 January 2012 Credit Suisse AG acting through its London Branch Return Index-linked Securities due 2018 linked to the EURO STOXX 50 Index (the Securities ) Series SPLB 2012-827 issued

More information

Series Number: 77 - Common Code: 128953426 - ISIN: XS1289534262 - WKN: A1Z6FG. Final Terms 8 September 2015

Series Number: 77 - Common Code: 128953426 - ISIN: XS1289534262 - WKN: A1Z6FG. Final Terms 8 September 2015 Final Terms 8 September 2015 EUR 50,000,000 0.25 per cent. Fixed Rate Instruments due 10 September 2019 Series 77, Tranche 1 issued pursuant to the EUR 7,500,000,000 Programme for the Issuance of Debt

More information

Hartford Life Institutional Funding. Hartford Life Insurance Company

Hartford Life Institutional Funding. Hartford Life Insurance Company Final Terms No. 4 dated December 6, 2006 Hartford Life Institutional Funding Issue of 250,000,000 5.375% Notes due January 17, 2012 secured by one or more Funding Agreement(s) issued by Hartford Life Insurance

More information

SAP GLOBAL DIVERSITY POLICY

SAP GLOBAL DIVERSITY POLICY SAP GLOBAL DIVERSITY POLICY Date 29.8.2006 1 TABLE OF CONTENTS Cover Sheet... 2 PREFACE... 3 1 DEFINITION... 4 2 OBJECTIVES AND SCOPE... 4 2.1 KEY TARGETS FOR DIVERSITY AT SAP... 5 2.2 COMPLIANCE/SANCTIONS...

More information

TECHNOTREND HOLDING N.V.

TECHNOTREND HOLDING N.V. Supplement No. 1 According to Article 5:23 the Dutch Act on Financial Supervision (Wet op het financieel toezicht, "Wft") as 8 November 2007 to the Prospectus as 5 November 2007 TechnoTrend Holding N.V.

More information

PROVISIONS RELATING TO INTEREST (IF ANY) PAYABLE

PROVISIONS RELATING TO INTEREST (IF ANY) PAYABLE EXECUTION COPY Final Terms dated 16 May 2016 General Motors Financial International B.V. Issue of 500,000,000 1.168 per cent. Notes due 18 May 2020 under the 10,000,000,000 Euro Medium Term Note Programme

More information

Exercise Price: HK$142.98 per ten Warrants

Exercise Price: HK$142.98 per ten Warrants Supplemental Listing Document If you are in any doubt about this document, you should consult your stockbroker or other registered dealer in securities, bank manager, solicitor, accountant or other professional

More information

GLENCORE FINANCE (EUROPE) S.A. Issue of EUR 1,250,000, per cent. Guaranteed Notes due Guaranteed by GLENCORE PLC.

GLENCORE FINANCE (EUROPE) S.A. Issue of EUR 1,250,000, per cent. Guaranteed Notes due Guaranteed by GLENCORE PLC. Final Terms dated March 13, 2015 GLENCORE FINANCE (EUROPE) S.A. Issue of EUR 1,250,000,000 1.250 per cent. Guaranteed Notes due 2021 Guaranteed by GLENCORE PLC and GLENCORE INTERNATIONAL AG and GLENCORE

More information

(Dieses Übereinkommen wurde nur in englisch und französisch erstellt; bitte hier klicken für die deutsche Übersetzung.)

(Dieses Übereinkommen wurde nur in englisch und französisch erstellt; bitte hier klicken für die deutsche Übersetzung.) (Dieses Übereinkommen wurde nur in englisch und französisch erstellt; bitte hier klicken für die deutsche Übersetzung.) 20. CONVENTION ON THE TAKING OF EVIDENCE ABROAD IN CIVIL OR COMMERCIAL MATTERS 1

More information

https://ir-cockpit.equitystory.com/cgi-bin/main.ssp?fn=voting_right_edit&voting_righ...

https://ir-cockpit.equitystory.com/cgi-bin/main.ssp?fn=voting_right_edit&voting_righ... Seite 1 von 23 DGAP Stimmrechtsmitteilung: Continental AG Continental AG: Veröffentlichung gemäß 26 Abs. 1 WpHG mit dem Ziel der europaweiten Verbreitung Veröffentlichung einer Stimmrechtsmitteilung übermittelt

More information