Aareal Bank AG / New loan issues and their warranties according to § 30e Para. 1, No. 2 of the WpHG [the German Securities Trading Act] 15.06.2015 16:16 Dissemination of a Post-admission Duties announcement according to Article 30e Para. 1, No. 2 WpHG, transmitted by DGAP - a service of EQS Group AG. The issuer is solely responsible for the content of this announcement. --------------------------------------------------------------------------- Notice pursuant to Sec. 30e par. 1 no. 1 lit. b), Nr. 2 German Securities Trading Act (WpHG) ('Change in the Rights attached to the admitted Securities') Notice Regarding the Change in the Rights attached to the admitted Securities pursuant to Sec. 30e par. 1 no. 1 lit. b), Nr. 2 German Securities Trading Act (WpHG) The relevant Terms and Conditions of the following Pfandbriefe EUR 50.000.000 3,00 per cent Mortgage Pfandbriefe due 27 July 2018 Series: 1010, Tranche 1 ISIN XS0528100786, WKN 707015 EUR 10.000.000 3,50 per cent Mortgage Pfandbriefe due 23 July 2018 Series: 1011, Tranche 1 ISIN XS0641018386, WKN 707042 EUR 100,000,000 3-Month-Euribor + 0.55 per cent Mortgage Pfandbriefe due 11 November 2015 Series: 1013, Tranche 1 ISIN XS0658621155, WKN A1K0JZ EUR 50,000,000 6-Month-Euribor + 0.55 per cent Mortgage Pfandbriefe due 24 August 2016 Series: 1020, Tranche 1 ISIN XS0749850680, WKN A1K0J7 EUR 100.000.000 6-Monats-Euribor + 0,60% Hypothekenpfandbriefe fällig 27. Juni 2018 Serie: 1022, Tranche 1 ISIN XS0750664814, WKN A1K0J9 EUR 80,000,000 6-Month-Euribor + 0.65 per cent Mortgage Pfandbriefe due 29 June 2020 Series: 1023, Tranche 1 ISIN XS0752045236, WKN A1K0KA EUR 10.000.000 2,125 per cent Mortgage Pfandbriefe due 18 April 2017 Serie: 1025, Tranche 1 EUR 10.000.000 2,125 per cent Mortgage Pfandbriefe due 18 April 2017 Series: 1025, Tranche 2 EUR 5.000.000 2,125 per cent Mortgage Pfandbriefe due 18 April 2017 Series: 1025, Tranche 3 ISIN XS0772609193, WKN A1K0KC EUR 15,000,000 3-Month-Euribor + 0.74 per cent Mortgage Pfandbriefe due 22 May 2017 Series: 1026, Tranche 1 ISIN XS0783530230, WKN A1K0KD EUR 50,000,000 3-Month-Euribor + 0.70 per cent Mortgage Pfandbriefe due 12 July 2016 Series: 1027, Tranche 1 ISIN XS0803693109, WKN A1K0KE EUR 10,000,000 2.25 per cent Mortgage Pfandbriefe due 30 August 2021 Series: 1028, Tranche 1 ISIN XS0821176368, WKN A1K0KF EUR 50,000,000 0.75 per cent Mortgage Pfandbriefe due 03 December 2015 Series: 1029, Tranche 1 ISIN XS0861019049, WKN A1K0KG EUR 40,000,000 3-Month-Euribor + 0.46 per cent Mortgage Pfandbriefe due 13 January 2017 Series: 1030, Tranche 1 ISIN XS0873675333, WKN A1K0KH EUR 20,000,000 Callable Step-Up 1.42 - 1.75 per cent Mortgage Pfandbriefe due 23 January 2020 Series: 1031, Tranche 1 ISIN XS0877923317, WKN A1K0KJ EUR 10,000,000 0.60 per cent Mortgage Pfandbriefe due 15 December 2017 Series: 1032, Tranche 1 ISIN XS0877993526, 087799352 EUR 24,000,000 COREALCREDIT BANK AG 2.125 per cent. Mortgage Pfandbriefe due 2023 Series: 1034, Tranche 1 ISIN XS0897426416, WKN A1R045 EUR 25,000,000 3-Month-Euribor + 0.35 per cent Mortgage Pfandbriefe due 22 March 2017 Series: 1035, Tranche 1 ISIN XS0907890239, WKN A1R046 EUR 10,000,000 1.35 per cent Mortgage Pfandbriefe due 25 March 2019 Series: 1036, Tranche 1 EUR 10,000,000 1.35 per cent Mortgage Pfandbriefe due 25 March 2019 Series: 1036, Tranche 2 ISIN XS0908553950, WKN A1R047 EUR 30,000,000 3-Month-Euribor + 0.31 per cent Mortgage Pfandbriefe due 18 April 2016 Series: 1037, Tranche 1 ISIN XS0918302992, WKN A1R048 EUR 10.000.000 1.50 per cent Mortgage Pfandbriefe due 02 July 2018 Series: 1039, Tranche 1 EUR 10.000.000 1.50 per cent Mortgage Pfandbriefe due 02 July 2018 Series: 1039, Tranche 2 EUR 20.000.000 1.50 per cent Mortgage Pfandbriefe due 02 July 2018 Series: 1039, Tranche 3 EUR 5.000.000 1.50 per cent Mortgage Pfandbriefe due 02 July 2018 Series: 1039, Tranche 4 ISIN XS0949241037, WKN A1R05A EUR 50.000.000 3-Month-Euribor + 0,28 per cent Mortgage Pfandbriefe due 19 December 2016 Series: 1040, Tranche 1 EUR 50.000.000 3-Month-Euribor + 0,28 per cent Mortgage Pfandbriefe due 19 December Series: 1040, Tranche 2 ISIN XS0972127913, WKN A1R05B EUR 10.000.000 2.50 per cent Mortgage Pfandbriefe due 21 November 2023 Series: 1041, Tranche 1 ISIN XS0996189659, WKN A1R05C EUR 100.000.000 3-Month-Euribor + 0.45 per cent Mortgage Pfandbriefe due 02 June 2021 Series: 1042, Tranche 1 ISIN XS0999485237, WKN A1R05D EUR 100.000.000 3-Month-Euribor + 0.42 per cent Mortgage Pfandbriefe due 04 December 2019 Series: 1043, Tranche 1 ISIN XS0999561276, WKN A1R05E EUR 50.000.000 3-Month-Euribor + 0.40 per cent Mortgage Pfandbriefe due 05 December 2018 Series: 1044, Tranche 1 ISIN XS0999561789, WKN A1R05F EUR 30.000.000 3-Month-Euribor + 0.38 per cent Mortgage Pfandbriefe due 28 December 2018 Series: 1045, Tranche 1 ISIN XS1010657580, WKN A1R05G EUR 10,000,000 3-months Euribor + 0.29 per cent. Mortgage Pfandbriefe due 28 January 2019 Series: 1046, Tranche 1 ISIN XS1022037987, WKN A1R05H EUR 10,000,000 2.11 per cent. Mortgage Pfandbriefe due 15 March 2024 Series: 1047, Tranche 1 ISIN XS1046548787, WKN A1R05 EUR 10,000,000 1.39 per cent. Mortgage Pfandbriefe due 21 August 2024 Series: 1049, Tranche 1 ISIN XS1101800396, WKN A1R05L EUR 10,000,000 0.86 per cent. Mortgage Pfandbriefe due 18 November 2022 Series: 1050, Tranche 1 ISIN XS1139078437, WKN A1R05M (together the 'Pfandbriefe') issued by COREALCREDIT BANK AG Grüneburgweg 58-62, 60322 Frankfurt am Main Federal Republic of Germany ('Corealcredit') have been changed effective from 15 June 2015 as follows: By registration with the commercial register of Corealkredit on 15 June 2015 Corealcredit's banking business and the related assets and liabilities (except for certain items as further described in the spin-off agreement) have been transferred by means of a split-off (Abspaltung) under the German Transformation Act (Umwandlungsgesetz) to Aareal Bank AG Paulinenstrasse 15, 65189 Wiesbaden Federal Republic of Germany ('Aareal Bank') The split-off does also affect the Pfandbriefe. Accordingly as from 15 June 2015 Aareal Bank AG is the legal successor of Corealcredit accordingly Issuer in accordance with § 1 (1) of the Terms and Conditions of the Pfandbriefe. The other Terms and Conditions of the Pfandbriefe remain unchanged. Wiesbaden/Frankfurt am Main, June 2015 Aareal Bank AG COREALCREDIT BANK AG 15.06.2015 The DGAP Distribution Services include Regulatory Announcements, Financial/Corporate News and Press Releases. Media archive at www.dgap-medientreff.de and www.dgap.de --------------------------------------------------------------------------- Language: English Company: Aareal Bank AG Paulinenstr.15 65189 Wiesbaden Germany Internet: www.aareal-bank.com End of Announcement DGAP News-Service ---------------------------------------------------------------------------
DGAP-CMS: Aareal Bank AG: Release according to Article 30e
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