2003-2018    5.125% EUR senior bond

Issuer innogy Finance B.V. (previously named RWE Finance B.V.)
Guarantor
innogy SE
Currency EUR
Volume
980m EUR
Issuance Date 23.07.2003
Maturity Date
23.07.2018
Coupon 5.125%
German Securities Code (WKN)
957955
ISIN
XS0172851650
Issue Price
99.717%
Denomination 1,000 EUR
Listing
Luxembourg Stock Exchange
Interest Payment Dates
23 July in each year, for the first time on 23 July 2005