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Allianz SE

Capital/Financing Update Jan 19, 2015

29_rns_2015-01-19_5a92e5a1-2ce5-4416-a075-cc718deb2399.html

Capital/Financing Update

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News Details

Other Capital Market Information | 19 January 2015 16:02

Allianz SE: Release according to Article 30e of the WpHG [the German Securities Trading Act] with the objective of Europe-wide distribution

Allianz SE / New loan issues and their warranties according to § 30e Para. 1, No. 2 of the WpHG [the German Securities Trading Act]

19.01.2015 16:02

Dissemination of a Post-admission Duties announcement according to Article 30e Para. 1, No. 2 WpHG, transmitted by
DGAP - a service of EQS Group AG.
The issuer is solely responsible for the content of this announcement.


Allianz SE has issued the following bond on January 19, 2015:

EUR 170,000,000 fixed rate notes, due on January 19, 2017.
ISIN Code: XS1169238828

19.01.2015 The DGAP Distribution Services include Regulatory Announcements,
Financial/Corporate News and Press Releases.
Media archive at www.dgap-medientreff.de and www.dgap.de


Language: English
Company: Allianz SE
Königinstr. 28
80802 München
Germany
Internet: www.allianz.com

End of Announcement DGAP News-Service


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