EUR 500m, 0.625%, maturity 31 May 2022

Full name

EUR 500m, 0.625%, maturity 31 May 2022

Type

Green Bond

Outstanding amount

EUR 500,000,000

Coupon

0.625%

ISIN

XS1422841202

Documentation

Final Terms​ (PDF 90 KB)

Oekom report​ (PDF 2 MB)

WE report​ (PDF 955 KB)

Investor reporting

2016

Investor Report 30 September 2016​​ (PDF 426 KB)

Investor Report 30 June 2016​​ (PDF 426 KB)