EXANE FINANCE - Superfund
EXANE FINANCE - Superfund
EXANE FINANCE - Superfund
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GENERAL PROVISIONS<br />
1. Issuer: Exane Finance<br />
2. Guarantor: Exane Derivatives (Moody’s: A3)<br />
3. Calculation Agent: Exane Derivatives (Moody’s: A3)<br />
4. Principal Paying Agent: Exane SA (Moody’s: A3)<br />
5. Settlement Confirmation Agent Not Applicable<br />
6. Multi Underlying Asset Certificates: Not Applicable<br />
7. Type(s) of Underlying Assets<br />
Underlying Asset(s) CIS Units<br />
(i) Underlying Asset(s): <strong>Superfund</strong> Gold SPC<br />
(ii) Class: Class A shares<br />
(iii) ISIN code; KYG8586M1096<br />
(iv) Management Company: <strong>Superfund</strong> Trading Management, Inc<br />
(v) Maximum Subscription Fees: 0%<br />
(vi) Maximum Redemption Fees: 0%<br />
(vii) Other Information: Not Applicable<br />
8. Settlement Currency or Currencies: Euro (EUR)<br />
9. Size of the Issue: 1,000,000 Certificates<br />
(i) Series: EUR 100,000,000<br />
(ii) Tranche: EUR 100,000,000<br />
10. Nominal Value: EUR 100 per Certificate<br />
11. Issue Price: EUR 105 per Certificate<br />
12. Net Proceeds: EUR 105,000,000<br />
13. Issue Date: 31 March 2008<br />
14. Maturity Date: 30 September 2105<br />
15. Settlement Date: Optional Settlement Date or Maturity Date<br />
16. Listing and Admission to trading: Börse Frankfurt Smart Trading AG<br />
17. Rating of the Certificates: Not Applicable<br />
18. Minimum Trading Number: 1 Certificates minimum and multiples of 1 thereafter<br />
REF.: 473337 / 2548-01<br />
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