May 17, 2008 - Everything else For Sale: BANK INSTRUMENTS - Quantity : unlimited - UNITED KINGDOM (UK)
Description : BOND 83+1% FOR TRADING
Issuer: Commerzbank AG, Frankfurt
Type of Security: Stand Alone Bond
Rating: Aa3 by Moody's / A by S&P / A by Fitch
Currency: USD
Denominations: USD 1, 000
Strike Date: 17 October 2007
Payment Date: 29 October 2007
Redemption Date: 29 October 2010
COMMON CODE: 032734260
ISIN CODE: XS0327342605
WKN: CB7 DXE
Telekurs: CH3493629
Contract Size: Fifty Billion
First Tranche: Five Hundred Million
Price: 83+1 Fees
Contact #190484 : Company name, Contact name, Phone, Fax, Address, Email