Bonds February 2015
ThyssenKrupp AG 15/20
Issuer ThyssenKrupp AG
Placement under Debt Issuance Programme Yes
Rating BB+/Ba1/BB (S&P)
Currency Euro
Issue amount 750,000,000
Value date February 25, 2015
Maturity November 25, 2020
Coupon 1.750%
Coupon payment annually (first coupon payment November 25, 2015)
Issue price 99.328% *
Stock exchange Luxembourg
Face value 1000
Physical securities none
Clearing agency Clearstream Banking AG, Frankfurt / Main (CBF)
Neue Börsenstraße 1
60487 Frankfurt / Main
Paying Agent
Deutsche Bank AG
Trust & Securities Services
Taunusanlage 12
60325 Frankfurt / Main
ISIN DE000A14J579
* Bond yield upon issue (primary market)
ThyssenKrupp AG 15/
25
Issuer ThyssenKrupp AG
Placement under Debt Issuance Programme Yes
Rating BB+/Ba1/BB (S&P)
Currency Euro
Issue amount
600,000,000
Value date February 25, 2015
Maturity February 25, 2025
Coupon
2.500%
Coupon payment annually
Issue price 98.818% *
Stock exchange Luxembourg
Face value 1000
Physical securities none
Clearing agency Clearstream Banking AG, Frankfurt / Main (CBF)
Neue Börsenstraße 1
60487 Frankfurt / Main
Paying Agent
Deutsche Bank AG
Trust & Securities Services
Taunusanlage 12
60325 Frankfurt / Main
ISIN
DE000A14J587
* Bond yield upon issue (primary market)
Press release - Press releases - ThyssenKrupp AG
cds 10y sui 195 a 5y sui 140 ?
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