| Emittent |
VERBUND International Finance GmbH |
| Garant |
VERBUND AG |
| Rating |
A1 (stable outlook) / A (stable outlook) |
| Nominale |
EUR 500 Mio. |
| Kupon |
5 % fix |
| Emissionstag |
25. Juni 2007 |
| Fälligkeitstag |
25. Juni 2014 |
| Listing |
Luxemburg, Wien |
| Stückelung |
EUR 50.000 plus Abstufungen in EUR 1.000 |
| Recht |
Deutsches Recht |
| Bookrunner |
Citigroup, Barclays Capital |
| Co-Managers |
Bank Austria, BNP Paribas, Calyon, Erste Bank, RBS, RZB |
| ISIN |
XS0307453026 |