 |

Factsheet of 3.25% CHF Bond 2008-2011

-
Issuer:
BASF Finance Europe N.V., Niederlande (guaranteed by BASF SE)
-
Rating:
Aa3 outlook negative (Moody’s) and AA- (Standard & Poor’s)
-
Listing:
Swiss Exchange (SWX)
-
Security Code:
3.994.329
-
ISIN Code:
CH0039943292
-
Volume:
300 million CHF
-
Face value:
5,000 CHF
-
Coupon payment:
3 Years
-
Term:
every 3rd June, starting 3rd June 2009
-
Maturity:
June 3rd, 2011
Conditions 3,25% Bonds of 2008/2011 (PDF-File, 71 KB)
Base Prospectus Debt Issuance Program (DIP), September 2007 (PDF-File, 850 KB)

|

 |

Factsheet of 3.625% CHF Bond 2008-2015

-
Issuer:
BASF Finance Europe N.V., Niederlande (guaranteed by BASF SE)
-
Rating:
Aa3 outlook negative (Moody’s) and AA- (Standard & Poor’s)
-
Listing:
Swiss Exchange (SWX)
-
Security Code:
3.994.338
-
ISIN Code:
CH0039943383
-
Volume:
200 million CHF
-
Face value:
5,000 CHF
-
Coupon payment:
7 Years
-
Term:
every 3rd June, starting 3rd June 2009
-
Maturity:
June 3rd, 2015
Conditions 3,625% Bonds of 2008/2015 (PDF-File, 71 KB)
Base Prospectus Debt Issuance Program (DIP), September 2007 (PDF-File, 850 KB)

|

 |

Factsheet of 5.0% Euro Bond 2007/2014

-
Issuer:
BASF Finance Europe N.V., Niederlande (guaranteed by BASF SE)
-
Rating:
Aa3 outlook negative (Moody’s) and AA- (Standard & Poor’s)
-
Listing:
Luxembourg Stock Exchange, Frankfurt Stock Exchange (planned)
-
German Security Code:
WKN A0TKBM
-
ISIN Code:
DE000A0TKBM
-
Volume:
1.25 billion EUR
-
Face value:
1,000 EUR
-
Issue price:
only institutional Investors: 99.631% (Tranche 1) only institutional Investors: 101.09% (Tranche 2)
-
Coupon:
5%
-
Coupon payment:
7 Years
-
Term:
every 26th September, starting 26th September 2008
-
Maturity:
September 26th, 2014
Conditions 1,000,000,000 5% Bonds of 2007/2014 Tranche 1 (PDF-File, 77 KB)
Conditions 1,000,000,000 5% Bonds of 2007/2014 Tranche 2 (PDF-File, 147 KB)
Base Prospectus Debt Issuance Program (DIP), September 2007 (PDF-File, 850 KB)

|

 |

Factsheet of 4.5% Euro Bond 2006/2016

-
Issuer:
BASF SE, Ludwigshafen
-
Rating:
Aa3 stable outlook (Moody's) and AA- outlook negative (Standard & Poor's)
-
Listing:
Dublin Stock Exchange Frankfurt Stock Exchange
-
German Security Code:
WKN A0JRFB
-
ISIN Code:
DE 000 A0JRFB0
-
Volume:
500 million EUR
-
Face value:
1,000 EUR
-
Issue price:
99.244
-
Coupon:
4.5%
-
Coupon payment:
every 29th June, starting 29th June 2007
-
Term:
10 Years
-
Maturity:
June 29th, 2016
Prospectus 500,000,000 4,5% Bonds of 2006/2016 and 500,000,000 Floating Rate Bonds of 2006/2009 (PDF-File, 1002 KB)

|

 |

Factsheet of Floating Rate Euro Bond 2006/2009

-
Issuer:
BASF SE, Ludwigshafen
-
Rating:
Aa3 stable outlook (Moody's) and AA- outlook negative (Standard & Poor's)
-
Listing:
Dublin Stock Exchange Frankfurt Stock Exchange
-
German Security Code:
WKN A0JRFA
-
ISIN Code:
DE 000 A0JRFA2
-
Volume:
500 million EUR
-
Face value:
1,000 EUR
-
Issue price:
99.971
-
Coupon:
EURIBOR + 0.1%
-
Coupon payment:
quaterly, every 29th June, 29th September, 29th December, 29th March, starting 29th September 2006
-
Term:
3 Years
-
Maturity:
June 29th, 2009
Prospectus 500,000,000 4,5% Bonds of 2006/2016 and 500,000,000 Floating Rate Bonds of 2006/2009 (PDF-File, 1002 KB)

|

 |

Factsheet of 4.0% Euro Bond 2006/2011

-
Issuer:
BASF SE, Ludwigshafen
-
Rating:
Aa3 on review for possible downgrade (Moody's) and AA-outlook negative (Standard & Poor's)
-
Listing:
Dublin Stock Exchange Frankfurt Stock Exchange
-
German Security Code:
WKN A0J QF2
-
ISIN Code:
DE 000 A0J QF2 6
-
Volume:
1,000 million EUR
-
Face value:
1,000 EUR
-
Issue price:
99.88%
-
Coupon:
4.0%
-
Coupon payment:
every 21st April, starting 21st April 2007
-
Term:
5 Years
-
Maturity:
April 21st, 2011
Prospectus 1,000,000,000 4% Bonds of 2006/2011 (PDF-File, 3724 KB)

|

 |


Factsheet of 3.5% Euro Bond 2003/2010


|

 |
|
 |
|
|