- Page 1 and 2: This document constitutes two base
- Page 3 and 4: 3 TABLE OF CONTENTS Summary of the
- Page 5 and 6: 5 Summary of the Prospectus This su
- Page 7 and 8: 7 linked cash amount ("Structured C
- Page 9 and 10: 9 Inflation linked Notes and Certif
- Page 11 and 12: 11 stream, Luxembourg") or Clearstr
- Page 13 and 14: 13 • Diversion of management reso
- Page 15 and 16: 15 German Translation of Summary of
- Page 17 and 18: 17 gelt. Das Pfandbriefgesetz hat a
- Page 19 and 20: 19 An Anleihen gebundene Wertpapier
- Page 21 and 22: 21 Rang der Wertpapiere: Negativver
- Page 23 and 24: 23 Da die Wertpapiere gegebenenfall
- Page 25 and 26: 25 tegrationsprozess erfolgreich ve
- Page 27 and 28: 27 Risk Factors Risks relating to t
- Page 29 and 30: 29 Investors should appreciate that
- Page 31 and 32: 31 (depending on the volatility of
- Page 33 and 34: 33 able by the Issuer can be capped
- Page 35 and 36: 35 - If the Warrant debtor liquidat
- Page 37 and 38: 37 • Tax Implications Tax Loss Ca
- Page 39 and 40: 39 Changes in financial and foreign
- Page 41: 41 impose the closing down of a ban
- Page 45 and 46: 45 "Zinstagequotient" bezeichnet im
- Page 47 and 48: 47 Wenn im vorstehenden Fall (2)(b)
- Page 49 and 50: 49 Fonds Gewichtung Maßgebliche B
- Page 51 and 52: 51 Die [•] ist "Maßgebliche Term
- Page 53 and 54: 53 sondere des Vermögens und des K
- Page 55 and 56: 55 billigem Ermessen einen Ersatzwe
- Page 57 and 58: 57 (4) Die Anleiheschuldnerin kann
- Page 59 and 60: 59 (4) [Diese Emissionsbedingungen
- Page 61 and 62: 61 ficial owner or owners of the No
- Page 63 and 64: (a) the offered quotation (if there
- Page 65 and 66: 65 [Interest Payment Date] (the "De
- Page 67 and 68: 67 [The conversion of the Redemptio
- Page 69 and 70: 69 ity, the Issuer shall be entitle
- Page 71 and 72: 71 evaluation, corresponds to the m
- Page 73 and 74: 73 § 7 (Appointment and Substituti
- Page 75 and 76: 75 Notes Terms and Conditions (Note
- Page 77 and 78: 77 (c) [bei festen Zinszahlungstage
- Page 79 and 80: 79 [maßgeblichen Referenzzinssatz
- Page 81 and 82: 81 [Im Falle von 30E/360 oder Eurob
- Page 83 and 84: 83 schuldnerin nicht verpflichtet,
- Page 85 and 86: 85 bedingungen enthaltene Bezugnahm
- Page 87 and 88: 87 Fondsgesellschaft[en] nicht best
- Page 89 and 90: 89 eine ausländische Zweigniederla
- Page 91 and 92: 91 (e) [Im Falle von nachrangigen S
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93 Structure of the English version
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95 "Calculation Agent" means [inser
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97 est Period. The Interest Amount
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99 [In case of an option to physica
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101 (2) Early Repayment by the Issu
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103 [the [Name of the Rate of Inter
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105 (1) The obligation under the No
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107 (3) The Issuer has appointed th
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109 (2) Notices to the Clearing Sys
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111 liable for so treating such hol
- Page 113 and 114:
113 [in the case of Floating Rate C
- Page 115 and 116:
115 [If Actual / 365 or Actual / Ac
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117 or before the day that is one h
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119 nation Agent) if "Include Accru
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121 ence Entity Notional Amount of
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123 § 6 (Taxation) (1) All payment
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125 domiciled or resident for taxat
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127 (3) The Issuer agrees that the
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129 Information which is made avail
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131 vider of any Qualifying Guarant
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133 "Equity Securities" means: (A)
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135 "Not Bearer" means any obligati
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137 "Principal Amount Outstanding"
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139 "Restructuring" (a) means that,
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141 ence Obligation was issued or i
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143 (iii) the relevant Final Terms
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145 ""Downstream Affiliate" means a
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147 ments (as defined below) of an
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149 (i) (j) Fully Transferable Obli
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151 Falle einer einmaligen oder meh
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153 (b) die Emittentin (in dieser F
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155 [...]] [Im Falle von Open-End D
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157 lung der jeweiligen Aktienkurse
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159 Annex B [Für Indexzertifikate,
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161 (5) Die Berechnung der Anpassun
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163 gigen Sachverständigen zu dem
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165 Structure of the English Versio
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167 pany or] [relevant (currency) e
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169 ANNEX A [For Index Basket Certi
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171 Ratio") of •. If Adjustments
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173 [(3)/(7)] After the Valuation D
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175 justment such that the economic
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177 [For Share Certificates and Sha
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179 Warrants Terms and Conditions (
- Page 181 and 182:
181 (4) Als Ausübungstag des Optio
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183 nerin wird die Ungültigkeit de
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[Diese Optionsbedingungen sind in e
- Page 187 and 188:
187 [Im Falle von Indexkorboptionss
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ket][Share price] stipulated on the
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191 Basket Shares] (such as a capit
- Page 193 and 194:
193 § [11][12] (Partial invalidity
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195 Annex B [Insert in the event of
- Page 197 and 198:
197 3. Specified Currency or Curren
- Page 199 and 200:
199 18. (vi) Determination Date(s):
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201 (ii) Optional Redemption Amount
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203 [Funds or ETF: Description of E
- Page 205 and 206:
37. If non-syndicated, name and add
- Page 207 and 208:
207 46. [Fixed Rate Notes only - Yi
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209 Annex [2] - Final Terms for Cre
- Page 211 and 212:
211 Loan: Bond or Loan: [Applicable
- Page 213 and 214:
213 Endgültige Bedingungen Bayeris
- Page 215 and 216:
215 11. [(i)] Rückzahlungs-/Zahlun
- Page 217 and 218:
217 (viii) Bildschirmfeststellung:
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219 (ii) Feststellungstag(e): [●]
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221 Korb aus Währungen: Bildschirm
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223 Abschnitt B: Sonstige Informati
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225 49. Details im Hinblick auf das
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227 - Bank Austria Creditanstalt wi
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229 also manages and distributes a
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231 Bulgaria, Romania, Serbia and M
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233 Andrea Umberto Varese Chief Ris
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235 lation, HVB Group has written d
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237 The consolidated profit (profit
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€ millions As of Dec.31, 2005 aft
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241 Litigation and Other Proceeding
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243 the Senate responsible for bank
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245 nich (Landgericht München I) h
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247 On account of different facilit
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249 of the Note and its redemption
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251 (taxable certificates) would be
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253 administration, if the repaymen
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255 debt-securities; kuponauszahlen
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257 General Information Pfandbriefe
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259 registered office (Sitz) of the
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261 the Programme will be required
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263 Documents incorporated by refer