07/22/2021 | Press release | Distributed by Public on 07/22/2021 10:46
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Per Bond
|
| |
Total
|
| |||
Price to public(1)
|
| |
101.69%
|
| | | € | 1,016,900,000.00 | | |
Underwriting commissions
|
| |
-
|
| | | | - | | |
Proceeds to KfW(1)(2)
|
| |
101.69%
|
| | | € | 1,016,900,000.00 | | |
|
Commerzbank
|
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Goldman Sachs Bank Europe SE
|
|
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Page
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Incorporation by Reference
|
| | | | PS-3 | | |
Use of Proceeds
|
| | | | PS-3 | | |
Exchange Rate Information
|
| | | | PS-3 | | |
Terms of the Bonds
|
| | | | PS-4 | | |
General Provisions
|
| | | | PS-4 | | |
Status
|
| | | | PS-4 | | |
Interest
|
| | | | PS-4 | | |
Maturity; Repurchase
|
| | | | PS-5 | | |
Payments
|
| | | | PS-5 | | |
Taxes
|
| | | | PS-5 | | |
Termination for Default
|
| | | | PS-6 | | |
The Paying Agent
|
| | | | PS-6 | | |
Further Issues
|
| | | | PS-6 | | |
Notices
|
| | | | PS-6 | | |
| | |
Page
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Governing Law; Jurisdiction; Enforcement; Language
|
| | | | PS-6 | | |
Supplemental Information on United States
Taxation |
| | | | PS-7 | | |
Subscription and Sale
|
| | | | PS-8 | | |
Subscription Agreement
|
| | | | PS-8 | | |
Certain Selling Restrictions
|
| | | | PS-8 | | |
Notices by the Managers to Distributors Regarding Product Governance
|
| | | | PS-9 | | |
Validity of the Bonds
|
| | | | PS-10 | | |
General Information
|
| | | | PS-10 | | |
Further Information
|
| | | | PS-10 | | |
Securities Identification Numbers
|
| | | | PS-10 | | |
| | |
Principal
amount of bonds |
| |||
Commerzbank Aktiengesellschaft
|
| | | € | 500,000,000 | | |
Goldman Sachs Bank Europe SE
|
| | | € | 500,000,000 | | |
Total
|
| | | € | 1,000,000,000 | | |
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Page
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Information Relating to Euro-Denominated Global Bonds
|
| | | | S-3 | | |
Description of the Bonds
|
| | | | S-3 | | |
General Provisions
|
| | | | S-3 | | |
Status
|
| | | | S-3 | | |
Interest
|
| | | | S-4 | | |
Maturity; Early Redemption;
Repurchase |
| | | | S-4 | | |
Payments
|
| | | | S-4 | | |
Taxes
|
| | | | S-5 | | |
Termination for Default
|
| | | | S-5 | | |
Paying Agent
|
| | | | S-5 | | |
Further Issues
|
| | | | S-5 | | |
Notices
|
| | | | S-6 | | |
Governing Law; Jurisdiction; Enforcement; Language
|
| | | | S-6 | | |
| | |
Page
|
| |||
Clearing and Settlement
|
| | | | S-6 | | |
Certification and Custody; Appointment of the Paying Agent
|
| | | | S-7 | | |
Payments
|
| | | | S-7 | | |
The Clearing Systems
|
| | | | S-7 | | |
Global Clearing and Settlement Procedures
|
| | | | S-9 | | |
Information on Currency Conversion and Foreign Exchange Exposure
|
| | | | S-10 | | |
Currency Conversion
|
| | | | S-10 | | |
Foreign Exchange Exposure
|
| | | | S-10 | | |
Subscription and Sale
|
| | | | S-10 | | |
Subscription Agreement
|
| | | | S-10 | | |
Certain Selling Restrictions
|
| | | | S-11 | | |
Other Provisions
|
| | | | S-12 | | |
Delivery and Settlement
|
| | | | S-13 | | |
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About This Prospectus
|
| | | | 2 | | |
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Where You Can Find More Information
|
| | | | 2 | | |
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Forward Looking Statements
|
| | | | 3 | | |
|
KfW
|
| | | | 4 | | |
|
Use of Proceeds
|
| | | | 7 | | |
|
Description of Securities
|
| | | | 8 | | |
|
Responsibility of the Federal Republic for
KfW |
| | | | 10 | | |
|
Debt Record
|
| | | | 10 | | |
|
Federal Republic Taxation
|
| | | | 11 | | |
|
United States Taxation
|
| | | | 15 | | |
|
Plan of Distribution
|
| | | | 28 | | |
|
Validity of Securities
|
| | | | 28 | | |
|
Limitations on Actions Against The Federal Republic
|
| | | | 28 | | |
|
Enforcement of Civil Liabilities Against
KfW |
| | | | 29 | | |
|
Authorized Representative in the United
States |
| | | | 29 | | |
|
Official Statements and Documents
|
| | | | 29 | | |
| | Please consult your own tax advisor concerning the consequences of owning these notes in your particular circumstances under the Code and the laws of any other taxing jurisdiction. | | |