| Issuer |
IMMOFINANZ AG |
| Volume at present |
EUR 195,000,000 |
| Interest Rate |
1.25% payable annually in arrear on 19.11 of each year |
| Term |
19.11.2007 - 19.11.2017 (10 years) |
| Denomination |
EUR 100,000 |
| Listing |
Vienna, Third Market |
| ISIN |
XS0332046043 |
| Conversion Right |
Each convertible bond with a nominal value of EUR 100,000 may be exchanged for 11,198 shares of zero par value bearer stock in IMMOFINANZ AG. |
| Conversion Period |
Bondholders can exercise their conversion right beginning on 2 January 2008 until 9 November 2017 (except during customary exclusion periods) by signing a declaration of conversion provided by the conversion agents (Principal conversion agent: Deutsche Bank AG). |
| Conversion Price |
EUR 8.93 |
| |
|
| As of |
31 October 2011 |