Bondholders prospectuses

New Notes (ISIN XS0820547742) Notice of Interest Payment February 2014
Notice of Interest Payment
28 August 2012 prospectus relating to the offer and admission to trading of up to EUR 75,200,000 of New Notes to be issued on 4 October 2012 2012
PROSPECTUS SUMMARY
PROSPECTUS SUMMARY (translation in Flemish)
SECURITIES NOTE AND PROSPECTUS SUMMARY DATED 28 AUG 2012
REGISTRATION DOCUMENT DATED 18 JULY 2012
Bond with Warrants, March 2007–March 2014 2007

Issue of EUR 175 000 461.60 seven year bonds with redeemable warrants attached

Bond ISIN XS0291838992 Common code 029183899 

Warrant ISIN XS0290764728 Common code 029076472 

Bond Cum. Warrants ISIN XS0291840626 Common code 029184062

Prospectus
Bond issue results
Orco Property Group - Convertible Bond, June 2006 – June 2013 2006

Issue of a convertible bond in a nominal amount of EUR 149 999 928 without preferential subscription rights.

ISIN FR0010333302

Prospectus
Supplement
Prospectus summary
Announcement of bond issue
Results of bond issue
Czech Bond Issue, January 2006 – February 2011 2006

Issue of CZK 1 500 000 000 floating rate bonds, listed on Prague Stock Exchange

ISIN CZ0000000195

Apendix 1
Appendix 2
Appendix 3
Appendix 4
Disclaimer
Announcement of bond issue
Prospectus
Bond with Warrants, November 2005 – November 2012 2005

Issue of a loan represented by 73.273 Bonds with Redeemable Share Subscription Warrants in a nominal amount of 50.272.605,30€ without preferential subscription rights.

ISIN LU0234878881

Prospectus
Prospectus summary
Announcement of bond issue

Important notice

The information contained herein is not for distribution, directly or indirectly, in or into the United States (including its territories and dependencies, any State of the United States and the District of Columbia). The information contained herein do not constitute or form a part of any offer or solicitation to purchase or subscribe for securities in the United States. The securities mentioned herein have not been, and will not be, registered under the United States Securities Act of 1933, as amended, (the “Securities Act”).

The securities mentioned herein may not be offered or sold in the United States or to, or for the account or benefit of, US persons (as such term is defined in Regulation S under the Securities Act) except pursuant to an exemption from the registration requirements of the Securities Act. There will be no public offer of securities in the United States.

By accessing the information on the following web pages, you represent, warrant and agree that you (i) are not in the United States or acting on a non-discretionary basis on behalf of a person located in the United States and (ii) will not mail, email or otherwise forward, distribute or send such information in or into the United States.