2013-2020    1.875% EUR senior bonds

Issuer innogy Finance B.V. (previously named RWE Finance B.V.)
Guarantor innogy SE
Currency EUR
Volume 750m EUR
Issuance Date
16.01.2013
Maturity Date 30.01.2020
Coupon 1.875%
German Securities Code (WKN) A1HE5D
ISIN XS0878010718
Issue Price 99.384%
Denomination 1,000 EUR
Listing Luxembourg Stock Exchange
Interest Payment Dates 30 Jan. in each year, for the first time on 30 Jan. 2014