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This summary shows all current bonds of Continental and its subsidiaries. Bonds that are issued by subsidiaries are guaranteed by Continental AG. 2015 Bond: WKN A1AY2A, ISIN DE000A1AY2A0 2017 Bond: WKN A1A0U3, ISIN DE000A1A0U37 2016 Bond: WKN A1A1P0, ISIN DE000A1A1P09 2018 Bond: WKN A1A1P2, ISIN DE000A1A1P25 To view the performance of the bonds please click here. | Issuer | Conti Gummi Finance B.V., Netherlands | Conti Gummi Finance B.V., Netherlands | | Issue | Senior Secured Notes | Senior Secured Notes | | Principal Amount | Euro 750,000,000 | Euro 1,000,000,000 | | Offering Price | 99.0047 % | 99.3304 % | | Rating | B1 (Moody's) B (Standard & Poor's) | B1 (Moody's) B (Standard & Poor's) | | Coupon | 8.5 % | 7.5% | | Issue Date | July 16, 2010 | September 13, 2010 | | Maturity | July 15, 2015 | September 15, 2017 | | Interest Payment Dates | Semi annual January 15 and July 15 | Semi annual March 15 and September 15 | | WKN | A1AY2A | WKN A1A0U3 | | ISIN | DE000A1AY2A0 | DE000A1A0U37 | | Denomination | Euro 1,000 with minimum tradable amounts of Euro 50,000 | Euro 1,000 with minimum tradable amounts of Euro 50,000 |
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| Issuer | Conti Gummi Finance B.V., Netherlands | Conti Gummi Finance B.V., Netherlands | | Issue | Senior Secured Notes | Senior Secured Notes | | Principal Amount | Euro 625,000,000 | Euro 625,000,000 | | Offering Price | 98,861% | 99,246% | | Rating | B1 (Moody's) B (Standard & Poor's) | B1 (Moody's) B (Standard & Poor's) | | Coupon | 6.5 % | 7.125% | | Issue Date | October 5, 2010 | October 5, 2010 | | Maturity | January 15, 2016 | October 15, 2018 | | Interest Payment Dates | Semi annual January 15 and July 15 | Semi annual April 15 and October 15 | | WKN | A1A1P0 | A1A1P2 | | ISIN | DE000A1A1P09
| DE000A1A1P25 | | Denomination | Euro 1,000 with minimum tradable amounts of Euro 50,000 | Euro 1,000 with minimum tradable amounts of Euro 50,000 |
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