with the recommendation of the former section 3.8 paragraph 3 of the German Corporate Governance Code ("DCGK") [...] Hotline +49 89 210 27 250 Monday to Friday 8am - 5pm (MEST) (except Bavarian Holidays)
/en/investors/annual-general-meeting/annual-general-meeting-2021/a strong fourth quarter with €3.0 billion pbb originated a total of €7.3 billion in commercial real estate [...] interest and commission income increases by around 5%, to €485 million Net additions to risk provisioning [...] provisons more or less double to €261 million in 2020 €7.3 billion of new business in the REF segment, with a
/en/media/press/detail/pbbperformswelloverallin2020/The Bond has a coupon of 0.10 % and a maturity of 5 years. The issue was very well received by the steadily [...] sustainability investors, the order book amounted to 1.3 bn EUR from around 150 investors. With a share slightly
/en/media/press/detail/pbb-successfully-issued-first-green-bond-as-senior-preferred-benchmark/range between -0.5 points for Stuttgart and -0.9 points for Munich. The full report for the 3rd quarter of
/en/media/press/detail/konjunktur-bei-bueroimmobilien-in-deutschland-dreht-im-3-quartal-2020-in-die-rezession/05.2017 24.05.2027 3.375 up to EUR 70 mn Terms DE000A2DAST0 Announcement DE000A2DASM5 22.02.2017 22.02 [...] 2016 03.11.2031 4.120 EUR 5 mn Terms DE000A13SWL1 31.08.2016 31.08.2026 3.250 up to EUR 70 mn Terms [...] 03.2006 28.03.2021 4.560 EUR 7 mn Terms DE000A0SM1B5 02.05.2008 02.05.2023 8.060 EUR 10 mn Terms
/en/investors/debt-investors/final-terms/nachrangige-schuldverschreibungen/2021 DE000A3E5KU3 Senior Preferred EUR 10 mn 0.352% 07.10.2026 Terms 16.09.2021 DE000A3E5KT5 Senior Preferred [...] 2021 DE000A3E5K65 Senior Preferred EUR 7.5 mn 0.500% 23.07.2029 Terms 16.06.2021 DE000A3E5K40 Senior Preferred [...] 2021 DE000A3E5KS7 Senior Preferred EUR 20 mn 0.640% 10.09.2030 Terms 08.09.2021 DE000A3E5KR9 Senior Preferred
/en/investors/debt-investors/final-terms/ungedeckte-schuldverschreibungen/900% Terms 5th tap 01.01.2023 EUR 20 mn Terms 6th tap 01.01.2023 EUR 20 mn Terms DE000A1R06C5 29.05.2013 [...] 2007 CH0026714276 CHF 100 mn 3.125% 19.09.2023 Terms 10.10.2005 DE000A0E9LM3 EUR 35 mn Structured 30.11 [...] 100 mn Terms 2nd tap 11.03.2019 EUR 150 mn Terms 3rd tap 25.02.2020 EUR 50 mn Terms DE000A13SWB2 27.11
/en/investors/debt-investors/final-terms/oeffentliche-pfandbriefe/727% Terms DE000A3T0YD4 16.02.2022 14.02.2025 1.875% USD 750 mn 99.738% Terms DE000A3E5KY5 14.10.2021 11 [...] Terms 12.07.2022 DE000A3T0YM5 EUR 7.5 mn 2.00 % 14.11.2025 Terms 06.07.2022 DE000A3T0YL7 EUR 30 mn 2.375% [...] Terms 13.10.2021 DE000A3E5KZ2 EUR 16 mn 1.340% 16.10.2051 Terms 06.10.2021 DE000A3E5KW9 EUR 15 mn 0.010%
/en/investors/debt-investors/final-terms/hypothekenpfandbriefe/section 14 (5) sentence 2 and sentence 3 (proof of share ownership) and section 14 (6) sentence 3 (exercise [...] (in %) 2. Appropriation of consolidated profit 99.5 3. Formal approval of the Members of the Management [...] Articles of Association 46.3* 12. Amendment of the Articles of Association in section 3 (2) (transmission of
/en/media/press/detail/pbb-thesauriert-im-jahr-2019-erzielten-bilanzgewinn0/credit spreads (Q1 2019: €-2 million; Q4 2019: €-5 million). pbb’s pre-tax profit for the first quarter [...] for a shopping centre in the United Kingdom (stage 3; Q1 2019: €0 million; Q4 2019: €-18 million). At the
/en/media/press/detail/pbb-nimmt-prognose-fuer-das-geschaeftsjahr-2020-zurueck0/