DE000A13SWC0 19.01.2016 19.01.2023 0.500% EUR 750 mn 99,221%. Terms DE000A13SV81 30.07.2015 30.07.2020 0.250% [...] 2022 DE000A3T0YC6 SEK 500 mn variable 14.02.2025 Terms 24.01.2022 DE000A3T0YB8 EUR 10 mn 0.92% 26.01.2035 [...] 26.11.2021 DE000A3T0X63 EUR 16.8 mn 0.010% 30.11.2027 Terms 22.11.2021 DE000A3T0X48 SEK 500 mn variable
/en/investors/debt-investors/final-terms/hypothekenpfandbriefe/Terms 30.09.2009 DE000A0Z21Y3 USD 30 mn 4.000% 04.10.2021 Terms 22.07.2008 DE000A0S8X48 USD 365 mn Zero [...] 23.05.2008 DE000A0S8X14 USD 320 mn Zero Coupon 28.05.2037 Terms 20.05.2008 DE000A0S8X06 USD 255 mn Zero [...] EUR 50 mn Terms DE000A13SWB2 27.11.2015 27.11.2020 0.125% EUR 500 mn 99.900% Terms 5th tap 01.01.2023 EUR
/en/investors/debt-investors/final-terms/oeffentliche-pfandbriefe/Terms DE000A3T0X97 19.01.2022 Preferred 17.01.2025 0.250% EUR 750 mn 99.798% Terms DE000A3T0X22 27.10.2021 [...] 2022 DE000A3T0YA0 Senior Preferred EUR 50 mn variable 19.01.2024 Terms 13.01.2022 DE000A3T0X89 Senior Preferred [...] 2021 DE000A3T0X55 Senior Preferred EUR 10 mn 0.270% 25.11.2025 Terms 29.10.2021 DE000A3T0X30 Senior Preferred
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