RWE senior bonds

2013-2020 1.875% EUR senior bonds

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IssuerRWE Finance BV (since 01. September 2016 renamed in innogy Finance BV)
GuarantorRWE AG
CurrencyEUR
Volume750m EUR
Issuance Date16.01.2013
Maturity Date30.01.2020
Coupon1.875%
German Securities Code (WKN)A1HE5D
ISINXS0878010718
Issue Price99.384%
Denomination1,000 EUR
ListingLuxembourg Stock Exchange
Interest Payment Dates30 Jan. in each year, for the first time on 30 Jan. 2014


Here you may find all relevant details on the RWE bond issuance.

The Final Terms will be available at settlement date 30 January 2013.