The Group has issued under its EMTN Programme (Euro
Medium Term Note Programme) four currently outstanding euro
denominated bonds. The fi rst currently outstanding bond was
issued in September 2003 for a total of € 0.5 billion and matures in
September 2018. It carries a coupon of 5.5% (effective interest rate
5.58%) and was swapped into variable rate of 3M-Euribor +1.72%
in 2005. The second currently outstanding bond was issued in
August 2009 for a total of € 1 billion. It matures in August 2016
and carries a coupon of 4.625% (effective interest rate 4.68%),
which was swapped into variable rate of 3M-Euribor +1.57%. The
third currently outstanding bond was issued in April 2014 for a
total of € 1 billion and matures in April 2024. It carries a coupon
to 12 months. The programme has been set up in 2003 with a
maximum volume of € 2 billion, increased in 2013 to a maximum
volume of € 3 billion.