Obbligazione Grenke 0.625% ( XS2078696866 ) in EUR

Emittente Grenke
Prezzo di mercato 100 EUR  ▲ 
Paese  Germania
Codice isin  XS2078696866 ( in EUR )
Tasso d'interesse 0.625% per anno ( pagato 1 volta l'anno)
Scadenza 09/01/2025 - Obbligazione è scaduto



Prospetto opuscolo dell'obbligazione Grenke XS2078696866 in EUR 0.625%, scaduta


Importo minimo 1 000 EUR
Importo totale 300 000 000 EUR
Descrizione dettagliata Grenke Leasing AG è una società tedesca che offre soluzioni di leasing operativo per attrezzature IT e altri beni.

The Obbligazione issued by Grenke ( Germany ) , in EUR, with the ISIN code XS2078696866, pays a coupon of 0.625% per year.
The coupons are paid 1 time per year and the Obbligazione maturity is 09/01/2025







MiFID II Product Governance !Solely!for!the!purposes!of!each!manufacturer's!product!approval!process,!
the!target!market!assessment!in!respect!of!the!Notes!has!led!to!the!conclusion!that:!(i)!the!target!market!for!
the! Notes! is! eligible! counterparties,! professional! clients! and! retail! clients,! each! as! defined! in! Directive!
2014/65/EU! (as! amended,! "MiFID II");! and! (ii)! all! channels! for! distribution! of! the! Notes! are! appropriate,!
including! investment! advice,! portfolio! management,! non-advised! sales! and! pure! execution! services.! Any!
person! subsequently! offering,! selling! or! recommending! the! Notes! (a! "distributor")! should! take! into!
consideration! the! manufacturers'! target! market! assessment;! however,! a! distributor! subject! to! MiFID!II! is!
responsible!for!undertaking!its!own!target!market!assessment!in!respect!of!the!Notes!(by!either!adopting!or!
refining!the!manufacturers'!target!market!assessment)!and!determining!appropriate!distribution!channels.!
In!case!of!Notes!listed!on!the!official!list!and!admitted!to!trading!on!the!Regulated!Market!(which!is!a!regulated!
market!for!the!purposes!of!the!Markets!in!Financial!Instruments!Directive!2014/65/EU)!or!on!the!professional!
segment!of!the!Regulated!Market!of!the!Luxembourg!Stock!Exchange,!or!publicly!offered!in!the!Grand!Duchy!
of! Luxembourg,! the! Final! Terms! will! be! displayed! on! the! website! of! the! Luxembourg! Stock! Exchange!
(www.bourse.lu).!In!the!case!of!Notes!offered!to!the!public!in!one!or!more!member!states!of!the!European!
Economic!Area!other!than!the!Grand!Duchy!of!Luxembourg, the!Final!Terms!will!be!displayed!on!the!website!
of!GRENKE!AG!(http://www.grenke.de/en/investor-relations.html).!
8.!November!2019
Endgültige Bedingungen
#!300.000.000!!0,625%!Schuldverschreibungen!fällig!9.!Januar!2025!
Serien!Nr.:!15!/!Tranche!Nr.:!1

Tag!der!Begebung:!12.!November!2019
begeben!aufgrund!des!#!3.500.000.000!Debt!Issuance!Programme!vom!15.!Februar!2019!

!
Wichtiger Hinweis
Diese!Endgültigen!Bedingungen!wurden!für!die!Zwecke!des!Artikels!5!Absatz!4!der!Richtlinie!2003/71/EG!
des!Europäischen!Parlaments!und!des!Rates!vom!4.!November!2003,!in!der!geänderten!Fassung,!abgefasst!
und! sind! in! Verbindung! mit! dem! Debt! Issuance! Programme! Prospekt! vom! 15.!Februar! 2019! über! das!
Programm!(der!"Prospekt"),!dem!ersten!Nachtrag!dazu!vom!8.!Mai!2019!und!dem!zweiten!Nachtrag!dazu!
vom!7.!August!2019!zu!lesen.!Der!Prospekt!sowie!etwaige!Nachträge!können!in!elektronischer!Form!auf!der!
Internetseite! der! Luxemburger! Börse! (www.bourse.lu)! und! der! Internetseite! der! GRENKE! AG!
(http://www.grenke.de/en/investor-relations.html)! eingesehen! werden.! Kopien! sind! erhältlich! bei! GRENKE!
AG,!Neuer!Markt!2,!76532!Baden-Baden,!Bundesrepublik!Deutschland,!und!bei!GRENKE!FINANCE!PLC,!Q!


House,! Suite! 306,! Furze! Road,! Sandyford! Industrial! Estate,! Dublin! 18,! Irland.! Um! sämtliche! Angaben! zu!
erhalten,! sind! die! Endgültigen! Bedingungen,! der! Prospekt! und! etwaige! Nachträge! im! Zusammenhang! zu!
lesen.!Eine!Zusammenfassung!der!einzelnen!Emission!der!Schuldverschreibungen!ist!diesen!Endgültigen!
Bedingungen!angefügt.


Teil I.: ANLEIHEBEDINGUNGEN
Die! für! die! Schuldverschreibungen! geltenden! Anleihebedingungen! (die! "Bedingungen")! sowie! die!
englischsprachige!Übersetzung!sind!wie!nachfolgend!aufgeführt.!
Currency;!Denomination.
Form.!
Temporary!Global!Note! !Exchange.
Clearing!System.!


pro!rata
pro!rata
Holder!of!Notes.!
Referenced Conditions
Status.!
pari!passu!
pari!passu!
Negative!Pledge.
encumbrance
Guarantee! and! Negative! Pledge! of! the! Guarantor.
encumbrance


Rate!of!Interest!and!Interest!Payment!Dates.!
per!annum
Accrual!of!Interest.!
Calculation!of!Interest!for!Partial!Periods.
Day!Count!Fraction.!
A!contract! may! stipulate! performance! for! the! benefit! of! a! third! party,! to! the! effect!that! the!third! party! acquires! the! right!
directly!to!demand!performance
Deutsche!Bundesbank


Payment! of! Principal.!
Payment!of!Interest.!
Manner! of! Payment.!
Discharge.!
Payment!Business!Day.!
References!to!Principal!and!Interest.!
Deposit!of!Principal!and!Interest.!
Amtsgericht !
Redemption!at!Maturity.!
Early!Redemption!for!Reasons!of!Taxation.!


Change!of!Control.!
gesetzliche! Erben
Textform


Appointment;!Specified!Offices.!
Variation!or!Termination!of!Appointment.!
!
Agents!of!the!Issuer.!


Events! of! Default.!
Quorum.!
Form! of! Notice.!
Textform
Substitution.!


Notice.!
Change!of!References.!
Amendment! of! the! Terms! and! Conditions.
Schuldverschreibungsgesetz aus!Gesamtemissionen
Majority.
Resolution!of!Holders.
Chair! of! the! vote.
Voting!rights.
Holders'!Representative.!