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VERBUND AG Capital/Financing Update 2009

Apr 9, 2009

765_rns_2009-04-09_c0ab1ab5-3efa-493f-85e0-bd7c29853da9.pdf

Capital/Financing Update

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VERBUND-International Finance B.V. EUR 500,000,000 4.75 % Bond 2009/2015

VERBUND-International Finance B.V. – a 100 % subsidiary of Österreichische Elektrizitätswirtschafts-Aktiengesellschaft issues successfully a 500 million EURO bond with the following terms and conditions:

Issuer: Verbund
International
Finance
B.V.
Guarantor: Verbundgesellschaft
Rating: A1
(stable
outlook)
/
A
(stable
outlook)
Notional
amount:
EUR
500,000,000
Coupon: 4.75
%
Issue
Date:
17.
April
2009
Maturity
Date:
17.
April
2015
Listing: Luxembourg,
Vienna
Denominations: EUR
1,000
Governing
Law:
German
Lead
Managers:
Barclays
Capital,
Deutsche
Bank,
UniCredit
ISIN: XS0424019437