2003-2033    5.750% EUR senior bond

Issuer innogy Finance B.V. (previously named RWE Finance II B.V. and innogy Finance II B.V.)
Guarantor innogy SE
Currency EUR
Volume 600m EUR
Issuance Date 14.02.2003
Maturity Date 14.02.2033
Coupon 5.750%
German Securities Code (WKN) 748537
ISIN XS0162513211
Issue Price 98.670%
Denomination 1,000 EUR
Listing Luxembourg Stock Exchange
Interest Payment Dates 14 Feb. in each year, for the first time on 14 Feb. 2004