Bonds

Bond information

2.875% bond, 2005-2012
Bond amount 140'000'000 CHF
Interest 2.875% p.a., paid annually on July 12, initially on July 12, 2006
Maturity 7 years, fixed
Payment July 12, 2005
Redemption July 12, 2012 , at nominal value
Units CHF 5 000 nominal and multiples thereof
Securities no. 2.189.351
ISIN CH0021893513
Common code 022295870