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The SYSTAIC bond

systaic AG has issued three convertible bonds within the last two years. The convertible bond 2009/2013 was published via ad hoc release on August 24, 2009.

The table below contains information on the volumes, maturities, interest rates, etc. of all convertible bonds of systaic AG:

WKN

Nominal amount
per partial debenture
EUR

Issuing price
per partial debenture
EUR

Capital expenditure
per share
EUR

Maturity

Interest rate
(%)

No. of bonds outstanding

Shares outstanding
upon conversion

AOJQTZ2

50.000,00

50.000,00

5,00

31.05.2010

7,5

0

0

AOPNGZ

1.000,00

1.000,00

6,95

07.12.2012

6,6

665

93.665

AOXYAY

100,00

135,00

5,14

27.10.2012

6.6 effective
8.9 nominal

0

0

A1A56W

100.00

125.00

6.58

15.09.2013

6.5 effective
8.125 nominal

7.951

151.069


 
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