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Base prospectus, supplements, final terms and use of prospectus
Documents relating to the Base Prospectus 19.04.2024
Download Securities Note 19.04.2024
Download
See registration document
Supplements
First Supplement 09.12.2024
pdf
First Supplement
(105 KB)
Securities Note 19-04-2024
Documents containing information which is incorporated by reference
pdf
Securities note dated 17 July 2020
(6 MB)
pdf
Supplement dated 20 August 2020
(514 KB)
pdf
Supplement dated 18 November 2020
(478 KB)
pdf
Supplement dated 22 March 2021
(552 KB)
pdf
Supplement dated 8 June 2021
(679 KB)
pdf
Securities note dated 14 July 2021
(6 MB)
pdf
Supplement dated 17 January 2022
(580 KB)
pdf
Securities note dated 08 July 2022
(6 MB)
pdf
Supplement dated 20 December 2022
(235 KB)
pdf
Securities Note dated 21 April 2023
(6 MB)
pdf
Supplement dated 19 December 2023
(137 KB)
Final Terms
ISIN AT000B015771
pdf
RBI AG Up to CZK 1,000,000,000 Floating Rate Ordinary Senior Eligible Notes due 2029 Series: 303, Tranche 1
(422 KB)
ISIN AT000B015763
pdf
RBI AG Step-Up Notes with Auto-Redemption III 2024-2031 Series: 302, Tranche 1
(531 KB)
pdf
Summary of Series 302
(219 KB)
pdf
Consent to use the base prospectus
(13 KB)
ISIN XS2904849879
pdf
RBI AG EUR 500,000,000 Subordinated Callable Fixed-to-Fixed Rate Reset Notes due January 2035
(518 KB)
ISIN AT000B015755
pdf
RBI AG CZK 393,000,000 4.26% per cent. Ordinary Senior Eligible Notes due 2029, Series: 300, Tranche 1
(383 KB)
ISIN XS2893858352
pdf
RBI AG EUR 500,000,000 Callable Fixed to Floating Rate Ordinary Senior Eligible Notes due January 2030, Series: 299, Tranche 1
(1 MB)
ISIN AT000B015748
pdf
RBI AG up to USD 50,000,000 Zero Coupon Notes 2024-2026, Series 298, Tranche 1
(443 KB)
pdf
German translation of the Summary of Series 298
(226 KB)
pdf
English translation of the Summary of Series 298
(226 KB)
pdf
Romanian translation of the Summary of Series 298
(271 KB)
pdf
Consent to use the base prospectus
(15 KB)
ISIN XS2826609971
pdf
RBI AG EUR 500,000,000 Callable Fixed to Floating Rate Ordinary Senior Eligible Notes due May 2030; Series: 297, Tranche 1
(1 MB)
ISIN AT000B015730
pdf
RBI AG Step-Up Notes with Auto-Redemption XI 2024-2029, Series: 296, Tranche 1
(583 KB)
pdf
German translation of the Summary of Series 296
(235 KB)
pdf
Consent to use the base prospectus
(14 KB)
ISIN AT000B015722
pdf
RBI AG Up to EUR 100,000,000 2.50 per cent Fixed Rate Notes 2024-2027, Series: 295, Tranche 1
(437 KB)
pdf
German translation of the Summary of Series 295
(226 KB)
pdf
English translation of the Summary of Series 295
(227 KB)
pdf
Croatian translation of the Summary of Series 295
(265 KB)
pdf
Czech translation of the Summary of Series 295
(267 KB)
pdf
Hungarian translation of the Summary of Series 295
(281 KB)
pdf
Consent to use the base prospectus
(16 KB)