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Past capital market transactions of the Würth Group

CURRENCY NOMINAL START MATURITY COUPON ISSUER INSTRUMENT
EUR 500 MM May 2015 May 2022 1.0 % Würth Finance International B.V. Bond
EUR 500 MM May 2013 May 2020 1.75 % Würth Finance International B.V. Bond
EUR 500 MM May 2011 May 2018 3.75 % Würth Finance International B.V. Bond
USD 200 MM Sept 2011 Sept 2021 4.48 % Würth Group of North America Inc. US Private Placement
CHF 225 MM Aug 2009 Aug 2015 3.875 % Würth Finance International B.V. Bond
CHF 300 MM July 2008 July 2012 4.25 % Würth Finance International B.V. Bond
EUR 100 MM Apr 2008 Apr 2013 variabel Würth Finance International B.V. Promissory Note
EUR 50 MM Apr 2008 Apr 2013 4.61 % Würth Finance International B.V. Promissory Note
EUR 300 MM June 2007 June 2014 4.75 % Würth Finance International B.V. Bond
EUR 100 MM May 2006 May 2013 4.25 % Würth Finance International B.V. Bond
EUR 100 MM June 2005 June 2012 3.5 % Würth Finance International B.V. Bond
USD 150 MM Sept 2004 Sept 2011 5.06 % Würth Group of North America Inc. US Private Placement
USD 50 MM Sept 2004 Sept 2011 5.06 % Würth Finance International B.V. US Private Placement
EUR 150 MM March 2003 March 2010 4.25 % Würth Finance International B.V. Bond
CHF 150 MM Feb 2001 Feb 2008 4.00 % Würth Finance International B.V. Bond
EUR 150 MM June 1999 June 2006 4.125 % Würth Finance International B.V. Bond
USD 100 MM Oct 1997 Oct 2004 6.875 % Würth Finance International B.V. Bond
CHF 100 MM Apr 1997 Apr 2005 3.75 % Würth Finance International B.V. Bond
DEM 200 MM March 1996 March 2003 6.375 % Würth Finance International B.V. Bond
CHF 100 MM Feb 1995 Feb 2001 6.00 % Würth Finance International B.V. Bond
DEM 100 MM Jan 1990 Jan 2000 8.00 % Würth Finance International B.V. Bond
CHF 75 MM 1988 1998 5.25 % Würth Finance International B.V. Bond