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Raiffeisen Bank International AG

Capital/Financing Update Mar 5, 2018

756_iss_2018-03-05_49cdcc88-4dcf-43f9-9ba4-a52c85e7fcd4.pdf

Capital/Financing Update

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DGAP-Ad-hoc:Raiffeisen Bank InternationalAG/ Keyword(s): Miscellaneous Raiffeisen Bank InternationalAG: Earlyredemption of subordinated notes (CH0212937210)

05-March-2018 / 19:17 CET/CEST Disclosure of an inside information acc. toArticle 17 MARof the Regulation (EU) No 596/2014, transmitted byDGAP- a service of EQS GroupAG. The issuer is solelyresponsible for the content of this announcement.

Vienna, 5 March 2018.Raiffeisen Bank InternationalAG(RBI) decided todayto redeem the RBI"CHF250,000,000 Callable Subordinated Fixed Rate ResetNotes due 2023"(CH0212937210) in the currentlyoutstanding aggregate principal amount ofCHF250,000,000 at par on the Call Redemption Date 24 May2018.

The earlyredemption will be effected bya separate notice of redemption in accordance with the conditions of the Notes.

For more information, please contact:

Susanne E. Langer Head ofGroup Investor Relations Spokesperson Raiffeisen Bank InternationalAG Am Stadtpark 9 1030 Vienna,Austria [email protected] phone +43-1-71 707-2089 www.rbinternational.com

05-March-2018 CET/CESTThe DGAPDistribution Services include RegulatoryAnnouncements, Financial/Corporate News and Press Releases. Archive atwww.dgap.de

Language:
Company:
English
Raiffeisen Bank InternationalAG
Am Stadtpark 9
A-1030 Vienna
Austria
Phone: +43-1-71707-2089
Fax: +43-1-71707-2138
E-mail: [email protected]
Internet: www.rbinternational.com
ISIN: AT0000606306
WKN: A0D9SU
Listed: Foreign Exchange(s) Luxemburg, SIX, Wien (Amtlicher Handel /Official Market)

End ofAnnouncement DGAPNews Service

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