2008-2019     6.625% EUR senior bond

Issuer
innogy Finance B.V. (previously named RWE Finance B.V.)
Guarantor
innogy SE
Currency
EUR
Volume
1000m EUR
Issuance Date
20.11.2008
Maturity Date
31.01.2019
Coupon
6.625%
German Securities Code (WKN)
A0T3SP
ISIN
XS0399647675
Issue Price
99.289%
Denomination
50,000 EUR
Listing
Luxembourg Stock Exchange
Interest Payment Dates
31 Jan in each year, for the first time on 31 Jan 2010