Specialist Debt Security Details

Deutsche Bank AG

Description Floating Rate Notes Due 2029
Series Credit Linked to "DARTS 2015-1" Replenishable Loan Portfolio
Coupon Variable 
Coupon Frequency Quarterly
Maturity Date 05 Jul 2029
Issue Date 30 Jun 2015
Currency EUR
Listed Amount Outstanding 409,532,237
Minimum Denomination 250,000
1st Interest Payment Date 05 Oct 2015
Listing Type Primary Listing on CSX
ISIN XS1252202665
ArrangerDeutsche Bank AG
Paying AgentDeutsche Bank AG, London Branch
Deutsche Bank Trust Company Americas
RegistrarDeutsche Bank Luxembourg S.A
Deutsche Bank Trust Company Americas