News Corner

December 19, 2014
ISIN DE000A0DTY34 - WKN A0DTY3 (T1)
Early redemption on January 28, 2015
EUR 900,000,000 Trust Preferred Securities
18 KB
November 19, 2014
Deutsche Bank successfully completes issuance of Additional Tier 1 capital
more
July 30, 2014
ISIN XS0229840474 - WKN DB2D9K (T2)
Early redemption on September 22, 2014
EUR 636,000,000 Callable Subordinated Floating Rate Bonds of 2005/2015
14 KB
July 30, 2014
ISIN XS0189609745 - WKN 393358 (T2)
Early redemption on September 15, 2014
GBP 154,000,000 Subordinated Callable Fixed to Floating Rate Bonds of 2004/2015
14 KB
May 20, 2014
Publication of prospectuses for
- EUR 1.75 bn, coupon 6%, ISIN DE000DB7XHP3 (AT1)
- USD 1.25 bn, coupon 6.25%, ISIN XS1071551474 (AT1)
- GBP 650 mn, coupon 7.125%, ISIN XS1071551391 (AT1)
more
May 20, 2014
Deutsche Bank AG placed undated Additional Tier 1 Notes with an equivalent value of EUR 3.5 billion:
- EUR 1.75 bn, coupon 6%, ISIN DE000DB7XHP3,
- USD 1.25 bn, coupon 6.25%, ISIN XS1071551474,
- GBP 650 mn, coupon 7.125%, ISIN XS1071551391
31 KB
May 5, 2014
ISIN DE0003933941 - WKN 393394 (T2)
Early redemption on June 9, 2014
EUR 465,000,000 Callable Subordinated Fixed to Floating Rate Bonds of 2005/2017
14 KB
April 28, 2014
Deutsche Bank undertakes issuance of Additional Tier 1 capital
19 KB
March 18, 2014
ISIN XS0097723166 - WKN 308334 (T1)
Early redemption on June 30, 2014
USD 118,000,000 Floating Rate Trust Preferred Securities
16 KB
February 27, 2014
ISIN DE000DB7URU8 - WKN DB7URU (T2)
Early redemption on March 13, 2014
EUR 150,000,000 6.00% Subordinated Fixed Rate Callable Notes of 2009/2019
14 KB
February 27, 2014
ISIN DE000DB7UPZ1 - WKN DB7UPZ (T2)
Early redemption on April 17, 2014
EUR 88,000,000 5.875% Subordinated Fixed Rate Callable Notes of 2009/2019
14 KB
February 24, 2014
New section "Capital Instruments / Prospectuses" with information and prospectuses for our AT1, T1 and T2 instruments
more
February 17, 2014
ISIN NZDBKDT001C5 + ISIN NZDBKDT002C3 (T2)
Early redemption on March 17, 2014
NZD 200,000,000 Subordinated Medium Term Note Issue due June 2014
12 KB
February 11, 2014
ISIN US25154D1028 - WKN A0M7PZ (T1)
Early redemption on March 17, 2014
USD 805,000,000 7.35% Trust Preferred Securities
13 KB
February 11, 2014
ISIN XS0176823424 - WKN 906930 (T1)
Early redemption on March 19, 2014
EUR 1,000,000,000 5.33% Trust Preferred Securities
12 KB
January 7, 2014
ISIN XS0198456054 - WKN 393365 (T2)
Early redemption on February 18, 2014
USD 335,400,000 Subordinated Floating Rate Step up Callable Notes of 2004/2015
14 KB
January 7, 2014
ISIN DE0003933750 - WKN 393375 (T2)
Early redemption on February 18, 2014
EUR 33,000,000 Subordinated Floating Rate Step up Callable Notes of 2004/2014
14 KB
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