Notices

ISIN Notices relating to issuances of Raiffeisen Bank International AG pdf
AT000B014246 Notice of automatic redemption Download
AT000B014956 Notice of partial cancellation as per 22.12.2020 Download
AT000B014105 Notice of partial cancellation as per 15.09.2020 Download
AT000B014667 Notice of partial cancellation as per 10.08.2020
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AT000B014501,
AT000B014519,
AT000B014527,
AT000B014550,
AT000B014568,
AT000B014584,
AT000B014576,
AT000B014592,
AT000B014600,
AT000B014535,
AT000B014618,
XS1981827378,
AT000B014634,
AT000B014642,
AT000B014659,
AT000B014667,
AT000B014675,
AT000B014683,
AT000B014725,
AT000B014709,
AT000B014733,
AT000B014758,
AT000B014766,
AT000B014774,
AT000B014782,
AT000B014816,
AT000B014824,
XS2106853240,
AT000B014949,
AT000B014972,
XS2142711840,
XS2146564930,
AT000B014980,
AT000B015003,
AT000B014998,
AT000B015011
Notice of termination of the offer and final issue volumes Download
AT000B013875 Notice of cancellation as per 01.07.2020 Download
AT000B014634 Notice of partial cancellation as per 30.04.2020 Download
XS1034950672 Notice of early redemption as per 21.02.2020 Download
AT000B014535
Notice of partial cancellation as per 17.02.2020
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AT000B013933
Notice of automatic redemption
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AT000B014535
Notice of partial cancellation as per 19.11.2019
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AT000B013982,

AT000B014089,

AT000B014071,

AT000B014097,

AT000B014105,

AT000B014238,

AT000B014246,

AT000B014261,

XS1820086723,

AT000B014337,

AT000B014386,

AT000B014394,

AT000B014402,

AT000B014410,

AT000B014444,

AT000B014477,

AT000B014485,

AT000B014469,

XS1901007150

Notice of termination of the offer and final issue volumes

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AT000B013792 (German only) Notice of automatic redemption as per 20.05.2019 Download

XS1001668950

Notice of early redemption as per 18.06.2019
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AT000B013354,

AT000B013883

Notice of cancellation as per 25.03.2019
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AT000B014055
Notice of partial cancellation as per 17.12.2018
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AT000B013180 (German only)
Notice of partial cancellation as per 15.06.2018
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AT000B013933, 

AT000B013941, 

AT000B013974, 

AT000B013966

Notice of termination of the offer and final issue volumes
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AT000B014006,

AT000B014014,

AT000B014022,

AT000B014030,

AT000B014048,

AT000B014055,

XS1678969954,

AT000B014220

Notice of termination of the offer and final issue volumes
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CH0212937210

Notice of early redemption as per 24.05.2018
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XS0843322750
Notice of early redemption as per 27.04.2018
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XS1135442363
Notice of early redemption as per 19.11.2017
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XS0289338609

Notice of early redemption as per 05.09.2017
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AT000B013628,

AT000B013644, 

AT000B013685, 

AT000B013693,

AT000B013701,

AT000B013727, 

AT000B013719,

AT000B013776, 

AT000B013768, 

AT000B013792, 

AT000B013784, 

AT000B013800, 

AT000B013818, 

AT000B013867, 

AT000B013909

Notice of termination of the offer and final issue volumes
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XS0880877476
Series 30 - notice of partial cancellation - June 2016
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XS0880877476

Series 30 - notice of partial cancellation - December 2015
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AT000B013594 (German only) Raiffeisen Bank International Inflationsschutz-Anleihe 2015-2021, Serie 87
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AT000B013560 (German only)
Raiffeisen Bank International USD MinMax-Anleihe 2015-2020, Serie 85
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AT000B013925
Raiffeisen Bank International EUR 7,000,000 Floating Rate Notes due October 2019 /Series 115, Tranche 2 increases the aggregate principal amount of the Raiffeisen Bank International EUR 50,000,000 Floating Rate Notes due October 2019, Series 115, Tranche 1, issued on 25 October 2016, and will be consolidated on their first Coupon Date, on 25 January 2017,  in order to form a single series and to bear the identical ISIN AT000B013925. Download
AT000B013958
Raiffeisen Bank International EUR 7,000,000 Floating Rate Notes due October 2019 /Series 115, Tranche 2 increases the aggregate principal amount of the Raiffeisen Bank International EUR 50,000,000 Floating Rate Notes due October 2019, Series 115, Tranche 1, issued on 25 October 2016, and will be consolidated on their first Coupon Date, on 25 January 2017,  in order to form a single series and to bear the identical ISIN AT000B013925.
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Notice to Noteholders of Raiffeisen Zentralbank Österreich Aktiengesellschaft relating to the merger of Raiffeisen Zentralbank Österreich Aktiengesellschaft into Raiffeisen Bank International AG

 
Date Notice PDF
18.03.2017 Notice to Noteholders of Raiffeisen Zentralbank Österreich Aktiengesellschaft Download
18.03.2017 Notice to Noteholders under the Euro Medium Term Note Programme of Raiffeisen Zentralbank Österreich Aktiengesellschaft Download

Notices relating to the issues of selected subsidiaries

ISIN Issues of selected subsidiaries Notices
XS0253262025 Notice of redemption as per 16.11.2017
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XS0253262025 Ad-hoc announcement by RZB Finance (Jersey) IV Limited of 25 September 2017
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XS0253262025
Notice to the Holders of  RZB Finance (Jersey) IV Limited EUR 500,000,000 Non-cumulative Subordinated Perpetual Callable Step-up Fixed to Floating Rate Capital Notes in connection with the merger of Raiffeisen Zentralbank Österreich Aktiengesellschaft into Raiffeisen Bank International AG - March 2017 Download
XS0193631040 Notice to the Holders of  RZB Finance (Jersey) III Limited EUR 200,000,000 Perpetual Non-cumulative Subordinated Floating Rate Capital Notes in connection with the merger of Raiffeisen Zentralbank Österreich Aktiengesellschaft into Raiffeisen Bank International AG - March 2017 Download