Bayer Aktiengesellschaft: Veröffentlichung gemäß § 26 Abs. 1 WpHG mit dem Ziel der europaweiten Verbreitung
Bayer Aktiengesellschaft
12.04.2013 12:17
Veröffentlichung einer Stimmrechtsmitteilung, übermittelt durch die DGAP - ein Unternehmen der EquityStory AG.
Für den Inhalt der Mitteilung ist der Emittent verantwortlich.
---------------------------------------------------------------------------
Stimmrechtsmitteilungen nach § 25a Abs. 1 WpHG
Wir haben folgende Mitteilung nach § 25a Abs. 1 am 11.04.2013 erhalten:
1. Emittent: Bayer Aktiengesellschaft, Kaiser-Wilhelm-Allee 1, 51373
Leverkusen, Deutschland
2. Mitteilungspflichtiger: SOCIÉTÉ GÉNÉRALE SA, Paris, Frankreich
3. Art der Schwellenberührung: Überschreitung
4. Betroffene Meldeschwellen: 5%
5. Datum der Schwellenberührung: 08.04.2013
6. Mitteilungspflichtiger Stimmrechtsanteil: 5,11% (entspricht 42294118
Stimmrechten) bezogen auf die Gesamtmenge der Stimmrechte des Emittenten in
Höhe von: 826947808
7. Einzelheiten zum Stimmrechtsanteil:
Stimmrechtsanteil aufgrund von (Finanz-/sonstigen) Instrumenten nach § 25a
WpHG:
4,94% (entspricht 40889783 Stimmrechten) davon mittelbar gehalten: 1,84%
(entspricht 15248400 Stimmrechten)
Stimmrechtsanteil aufgrund von (Finanz-/sonstigen) Instrumenten nach § 25
WpHG:
0,13% (entspricht 1086698 Stimmrechten) davon mittelbar gehalten: 0,00%
(entspricht 0 Stimmrechten)
Stimmrechtsanteile nach §§ 21, 22 WpHG:
0,04% (entspricht 317637 Stimmrechten)
8. Einzelheiten zu den (Finanz-/sonstigen) Instrumenten nach § 25a WpHG:
siehe Anlage
Kette der kontrollierten Unternehmen: SOCIÉTÉ GÉNÉRALE EFFEKTEN GMBH
Detaillierte Informationen betreffend Finanzinstrumente und andere
Instrumente:
^
ANHANG 08.04.2013
Stimmrechtsmitteilungen nach § 25a Abs. 1 WpHG: BAYER
ISIN or Name/Description of the Maturity Expiration
(financial/ other ) date
25a WpHG
Certificate DE000BP19GY8 21.06.2013
Equity Linked Swap 17/04/2013 to
30/04/2013
Equity Linked Swap 15/04/2013 to
13/05/2013
Equity Linked Swap 22/04/2013 to
06/05/2013
Structured Call option 02.01.2015
Structured Call option 03.01.2025
Structured Call option 05.01.2015
Structured Call option 17.05.2013
Structured Call option 14.12.2018
Structured Call option 15.12.2017
Structured Call option 16.12.2016
Structured Call option 18.12.2015
Structured Call option 19.12.2014
Structured Put option 02.01.2015
Listed Call warrant DE000SG0ASY3 03.01.2025
Listed Call warrant DE000SG1C056 03.01.2025
Listed Call warrant DE000SG1C3J5 03.01.2025
Listed Call warrant DE000SG1C4U0 03.01.2025
Listed Call warrant DE000SG1CYR9 03.01.2025
Listed Call warrant DE000SG24D27 03.01.2025
Listed Call warrant DE000SG3EEA9 03.01.2025
Listed Call warrant DE000SG3N729 03.01.2025
Listed Call warrant DE000SG2MBH5 05.01.2015
Listed Call warrant DE000SG2MBJ1 05.01.2015
Listed Call warrant DE000SG2WS53 05.01.2015
Listed Call warrant DE000SG2WS61 05.01.2015
Listed Call warrant DE000SG3AU47 05.01.2015
Listed Call warrant DE000SG32L50 14.12.2018
Listed Call warrant DE000SG32L68 14.12.2018
Listed Call warrant DE000SG32L76 14.12.2018
Listed Call warrant DE000SG26UQ3 15.12.2017
Listed Call warrant DE000SG2V9P5 15.12.2017
Listed Call warrant DE000SG2V9Q3 15.12.2017
Listed Call warrant DE000SG3T7P2 15.12.2017
Listed Call warrant DE000SG3T7Q0 15.12.2017
Listed Call warrant DE000SG2LU37 16.12.2016
Listed Call warrant DE000SG2LU45 16.12.2016
Listed Call warrant DE000SG2LU52 16.12.2016
Listed Call warrant DE000SG3T7L1 16.12.2016
Listed Call warrant DE000SG3T7M9 16.12.2016
Listed Call warrant DE000SG3T7N7 16.12.2016
Listed Call warrant DE000SG12FS0 18.12.2015
Listed Call warrant DE000SG12FT8 18.12.2015
Listed Call warrant DE000SG2AJ68 18.12.2015
Listed Call warrant DE000SG2ES89 18.12.2015
Listed Call warrant DE000SG2HNM0 18.12.2015
Listed Call warrant DE000SG2HNN8 18.12.2015
Listed Call warrant DE000SG3T7J5 18.12.2015
Listed Call warrant DE000SG3T7K3 18.12.2015
Listed Call warrant DE000SG26UM2 19.12.2014
Listed Call warrant DE000SG26UN0 19.12.2014
Listed Call warrant DE000SG26UP5 19.12.2014
Listed Call warrant DE000SG3T7G1 19.12.2014
Listed Call warrant DE000SG3T7H9 19.12.2014
Listed Put warrant DE000SG31KE0 21.03.2014
Listed Put warrant DE000SG31KF7 21.03.2014
Listed Put warrant DE000SG31KG5 21.03.2014
Listed Put warrant DE000SG31KH3 21.03.2014
Listed Put warrant DE000SG31KJ9 21.03.2014
Listed Put warrant DE000SG31KK7 21.03.2014
Listed Put warrant DE000SG31X08 19.04.2013
Listed Put warrant DE000SG31XZ8 19.04.2013
Listed Put warrant DE000SG31X16 17.05.2013
Listed Put warrant DE000SG31X24 17.05.2013
Listed Put warrant DE000SG31X32 17.05.2013
Listed Put warrant DE000SG31X40 17.05.2013
Listed Put warrant DE000SG31X57 17.05.2013
Listed Put warrant DE000SG31X65 17.05.2013
Listed Put warrant DE000SG31X73 17.05.2013
Listed Put warrant DE000SG31KL5 20.06.2014
Listed Put warrant DE000SG31KM3 20.06.2014
Listed Put warrant DE000SG31KN1 20.06.2014
Listed Put warrant DE000SG31KP6 20.06.2014
Listed Put warrant DE000SG31KQ4 20.06.2014
Listed Put warrant DE000SG3U7S3 20.06.2014
Listed Put warrant DE000SG3U7T1 20.06.2014
Listed Put warrant DE000SG3U7U9 20.06.2014
Listed Put warrant DE000SG30607 21.06.2013
Listed Put warrant DE000SG31J22 21.06.2013
Listed Put warrant DE000SG31J30 21.06.2013
Listed Put warrant DE000SG31J48 21.06.2013
Listed Put warrant DE000SG3JQY2 21.06.2013
Listed Put warrant DE000SG3KDN1 21.06.2013
Listed Put warrant DE000SG3P0E5 21.06.2013
Listed Put warrant DE000SG3P0F2 21.06.2013
Listed Put warrant DE000SG3P0H8 21.06.2013
Listed Put warrant DE000SG3U7G8 21.06.2013
Listed Put warrant DE000SG3VJE4 21.06.2013
Listed Put warrant DE000SG3VJF1 21.06.2013
Listed Put warrant DE000SG3YC41 21.06.2013
Listed Put warrant DE000SG30615 20.09.2013
Listed Put warrant DE000SG31J55 20.09.2013
Listed Put warrant DE000SG31J63 20.09.2013
Listed Put warrant DE000SG31J71 20.09.2013
Listed Put warrant DE000SG3MS47 20.09.2013
Listed Put warrant DE000SG3MS54 20.09.2013
Listed Put warrant DE000SG3MS70 20.09.2013
Listed Put warrant DE000SG3P0J4 20.09.2013
Listed Put warrant DE000SG3P0K2 20.09.2013
Listed Put warrant DE000SG3U7J2 20.09.2013
Listed Put warrant DE000SG3U7L8 20.09.2013
Listed Put warrant DE000SG3U7M6 20.09.2013
Listed Put warrant DE000SG3VJG9 20.09.2013
Listed Put warrant DE000SG3VJH7 20.09.2013
Listed Put warrant DE000SG3YC58 20.09.2013
Listed Put warrant DE000SG3Z2R1 20.09.2013
Listed Put warrant DE000SG30623 20.12.2013
Listed Put warrant DE000SG31J89 20.12.2013
Listed Put warrant DE000SG31J97 20.12.2013
Listed Put warrant DE000SG31KA8 20.12.2013
Listed Put warrant DE000SG31KB6 20.12.2013
Listed Put warrant DE000SG31KC4 20.12.2013
Listed Put warrant DE000SG31KD2 20.12.2013
Listed Put warrant DE000SG3P0M8 20.12.2013
Listed Put warrant DE000SG3P0N6 20.12.2013
Listed Put warrant DE000SG3P0P1 20.12.2013
Listed Put warrant DE000SG3P0Q9 20.12.2013
Listed Put warrant DE000SG3U7N4 20.12.2013
Listed Put warrant DE000SG3U7P9 20.12.2013
Listed Put warrant DE000SG3U7Q7 20.12.2013
Listed Put warrant DE000SG3U7R5 20.12.2013
Listed Put warrant DE000SG3VJK1 20.12.2013
Listed Put warrant DE000SG3VJL9 20.12.2013
Listed Put warrant DE000SG3VJM7 20.12.2013
Listed Put warrant DE000SG3Z2U5 20.12.2013
Physically-settled put
options
Listed Put Option 20.12.2013
Listed Put Option 18.12.2015
Listed Put Option 19.12.2014
Listed Put Option 21.06.2013
Listed Put Option 20.06.2014
Structured Put option 20.12.2013
Structured Put option 21.06.2013
Structured Put option 20.09.2013
°
12.04.2013 Die DGAP Distributionsservices umfassen gesetzliche
Meldepflichten, Corporate News/Finanznachrichten und Pressemitteilungen.
DGAP-Medienarchive unter www.dgap-medientreff.de und www.dgap.de
---------------------------------------------------------------------------
Sprache: Deutsch
Unternehmen: Bayer Aktiengesellschaft
Kaiser-Wilhelm-Allee 1
51373 Leverkusen
Deutschland
Internet: www.bayer-ag.de
Ende der Mitteilung DGAP News-Service
---------------------------------------------------------------------------
Bayer Aktiengesellschaft
12.04.2013 12:17
Veröffentlichung einer Stimmrechtsmitteilung, übermittelt durch die DGAP - ein Unternehmen der EquityStory AG.
Für den Inhalt der Mitteilung ist der Emittent verantwortlich.
---------------------------------------------------------------------------
Stimmrechtsmitteilungen nach § 25a Abs. 1 WpHG
Wir haben folgende Mitteilung nach § 25a Abs. 1 am 11.04.2013 erhalten:
1. Emittent: Bayer Aktiengesellschaft, Kaiser-Wilhelm-Allee 1, 51373
Leverkusen, Deutschland
2. Mitteilungspflichtiger: SOCIÉTÉ GÉNÉRALE SA, Paris, Frankreich
3. Art der Schwellenberührung: Überschreitung
4. Betroffene Meldeschwellen: 5%
5. Datum der Schwellenberührung: 08.04.2013
6. Mitteilungspflichtiger Stimmrechtsanteil: 5,11% (entspricht 42294118
Stimmrechten) bezogen auf die Gesamtmenge der Stimmrechte des Emittenten in
Höhe von: 826947808
7. Einzelheiten zum Stimmrechtsanteil:
Stimmrechtsanteil aufgrund von (Finanz-/sonstigen) Instrumenten nach § 25a
WpHG:
4,94% (entspricht 40889783 Stimmrechten) davon mittelbar gehalten: 1,84%
(entspricht 15248400 Stimmrechten)
Stimmrechtsanteil aufgrund von (Finanz-/sonstigen) Instrumenten nach § 25
WpHG:
0,13% (entspricht 1086698 Stimmrechten) davon mittelbar gehalten: 0,00%
(entspricht 0 Stimmrechten)
Stimmrechtsanteile nach §§ 21, 22 WpHG:
0,04% (entspricht 317637 Stimmrechten)
8. Einzelheiten zu den (Finanz-/sonstigen) Instrumenten nach § 25a WpHG:
siehe Anlage
Kette der kontrollierten Unternehmen: SOCIÉTÉ GÉNÉRALE EFFEKTEN GMBH
Detaillierte Informationen betreffend Finanzinstrumente und andere
Instrumente:
^
ANHANG 08.04.2013
Stimmrechtsmitteilungen nach § 25a Abs. 1 WpHG: BAYER
ISIN or Name/Description of the Maturity Expiration
(financial/ other ) date
25a WpHG
Certificate DE000BP19GY8 21.06.2013
Equity Linked Swap 17/04/2013 to
30/04/2013
Equity Linked Swap 15/04/2013 to
13/05/2013
Equity Linked Swap 22/04/2013 to
06/05/2013
Structured Call option 02.01.2015
Structured Call option 03.01.2025
Structured Call option 05.01.2015
Structured Call option 17.05.2013
Structured Call option 14.12.2018
Structured Call option 15.12.2017
Structured Call option 16.12.2016
Structured Call option 18.12.2015
Structured Call option 19.12.2014
Structured Put option 02.01.2015
Listed Call warrant DE000SG0ASY3 03.01.2025
Listed Call warrant DE000SG1C056 03.01.2025
Listed Call warrant DE000SG1C3J5 03.01.2025
Listed Call warrant DE000SG1C4U0 03.01.2025
Listed Call warrant DE000SG1CYR9 03.01.2025
Listed Call warrant DE000SG24D27 03.01.2025
Listed Call warrant DE000SG3EEA9 03.01.2025
Listed Call warrant DE000SG3N729 03.01.2025
Listed Call warrant DE000SG2MBH5 05.01.2015
Listed Call warrant DE000SG2MBJ1 05.01.2015
Listed Call warrant DE000SG2WS53 05.01.2015
Listed Call warrant DE000SG2WS61 05.01.2015
Listed Call warrant DE000SG3AU47 05.01.2015
Listed Call warrant DE000SG32L50 14.12.2018
Listed Call warrant DE000SG32L68 14.12.2018
Listed Call warrant DE000SG32L76 14.12.2018
Listed Call warrant DE000SG26UQ3 15.12.2017
Listed Call warrant DE000SG2V9P5 15.12.2017
Listed Call warrant DE000SG2V9Q3 15.12.2017
Listed Call warrant DE000SG3T7P2 15.12.2017
Listed Call warrant DE000SG3T7Q0 15.12.2017
Listed Call warrant DE000SG2LU37 16.12.2016
Listed Call warrant DE000SG2LU45 16.12.2016
Listed Call warrant DE000SG2LU52 16.12.2016
Listed Call warrant DE000SG3T7L1 16.12.2016
Listed Call warrant DE000SG3T7M9 16.12.2016
Listed Call warrant DE000SG3T7N7 16.12.2016
Listed Call warrant DE000SG12FS0 18.12.2015
Listed Call warrant DE000SG12FT8 18.12.2015
Listed Call warrant DE000SG2AJ68 18.12.2015
Listed Call warrant DE000SG2ES89 18.12.2015
Listed Call warrant DE000SG2HNM0 18.12.2015
Listed Call warrant DE000SG2HNN8 18.12.2015
Listed Call warrant DE000SG3T7J5 18.12.2015
Listed Call warrant DE000SG3T7K3 18.12.2015
Listed Call warrant DE000SG26UM2 19.12.2014
Listed Call warrant DE000SG26UN0 19.12.2014
Listed Call warrant DE000SG26UP5 19.12.2014
Listed Call warrant DE000SG3T7G1 19.12.2014
Listed Call warrant DE000SG3T7H9 19.12.2014
Listed Put warrant DE000SG31KE0 21.03.2014
Listed Put warrant DE000SG31KF7 21.03.2014
Listed Put warrant DE000SG31KG5 21.03.2014
Listed Put warrant DE000SG31KH3 21.03.2014
Listed Put warrant DE000SG31KJ9 21.03.2014
Listed Put warrant DE000SG31KK7 21.03.2014
Listed Put warrant DE000SG31X08 19.04.2013
Listed Put warrant DE000SG31XZ8 19.04.2013
Listed Put warrant DE000SG31X16 17.05.2013
Listed Put warrant DE000SG31X24 17.05.2013
Listed Put warrant DE000SG31X32 17.05.2013
Listed Put warrant DE000SG31X40 17.05.2013
Listed Put warrant DE000SG31X57 17.05.2013
Listed Put warrant DE000SG31X65 17.05.2013
Listed Put warrant DE000SG31X73 17.05.2013
Listed Put warrant DE000SG31KL5 20.06.2014
Listed Put warrant DE000SG31KM3 20.06.2014
Listed Put warrant DE000SG31KN1 20.06.2014
Listed Put warrant DE000SG31KP6 20.06.2014
Listed Put warrant DE000SG31KQ4 20.06.2014
Listed Put warrant DE000SG3U7S3 20.06.2014
Listed Put warrant DE000SG3U7T1 20.06.2014
Listed Put warrant DE000SG3U7U9 20.06.2014
Listed Put warrant DE000SG30607 21.06.2013
Listed Put warrant DE000SG31J22 21.06.2013
Listed Put warrant DE000SG31J30 21.06.2013
Listed Put warrant DE000SG31J48 21.06.2013
Listed Put warrant DE000SG3JQY2 21.06.2013
Listed Put warrant DE000SG3KDN1 21.06.2013
Listed Put warrant DE000SG3P0E5 21.06.2013
Listed Put warrant DE000SG3P0F2 21.06.2013
Listed Put warrant DE000SG3P0H8 21.06.2013
Listed Put warrant DE000SG3U7G8 21.06.2013
Listed Put warrant DE000SG3VJE4 21.06.2013
Listed Put warrant DE000SG3VJF1 21.06.2013
Listed Put warrant DE000SG3YC41 21.06.2013
Listed Put warrant DE000SG30615 20.09.2013
Listed Put warrant DE000SG31J55 20.09.2013
Listed Put warrant DE000SG31J63 20.09.2013
Listed Put warrant DE000SG31J71 20.09.2013
Listed Put warrant DE000SG3MS47 20.09.2013
Listed Put warrant DE000SG3MS54 20.09.2013
Listed Put warrant DE000SG3MS70 20.09.2013
Listed Put warrant DE000SG3P0J4 20.09.2013
Listed Put warrant DE000SG3P0K2 20.09.2013
Listed Put warrant DE000SG3U7J2 20.09.2013
Listed Put warrant DE000SG3U7L8 20.09.2013
Listed Put warrant DE000SG3U7M6 20.09.2013
Listed Put warrant DE000SG3VJG9 20.09.2013
Listed Put warrant DE000SG3VJH7 20.09.2013
Listed Put warrant DE000SG3YC58 20.09.2013
Listed Put warrant DE000SG3Z2R1 20.09.2013
Listed Put warrant DE000SG30623 20.12.2013
Listed Put warrant DE000SG31J89 20.12.2013
Listed Put warrant DE000SG31J97 20.12.2013
Listed Put warrant DE000SG31KA8 20.12.2013
Listed Put warrant DE000SG31KB6 20.12.2013
Listed Put warrant DE000SG31KC4 20.12.2013
Listed Put warrant DE000SG31KD2 20.12.2013
Listed Put warrant DE000SG3P0M8 20.12.2013
Listed Put warrant DE000SG3P0N6 20.12.2013
Listed Put warrant DE000SG3P0P1 20.12.2013
Listed Put warrant DE000SG3P0Q9 20.12.2013
Listed Put warrant DE000SG3U7N4 20.12.2013
Listed Put warrant DE000SG3U7P9 20.12.2013
Listed Put warrant DE000SG3U7Q7 20.12.2013
Listed Put warrant DE000SG3U7R5 20.12.2013
Listed Put warrant DE000SG3VJK1 20.12.2013
Listed Put warrant DE000SG3VJL9 20.12.2013
Listed Put warrant DE000SG3VJM7 20.12.2013
Listed Put warrant DE000SG3Z2U5 20.12.2013
Physically-settled put
options
Listed Put Option 20.12.2013
Listed Put Option 18.12.2015
Listed Put Option 19.12.2014
Listed Put Option 21.06.2013
Listed Put Option 20.06.2014
Structured Put option 20.12.2013
Structured Put option 21.06.2013
Structured Put option 20.09.2013
°
12.04.2013 Die DGAP Distributionsservices umfassen gesetzliche
Meldepflichten, Corporate News/Finanznachrichten und Pressemitteilungen.
DGAP-Medienarchive unter www.dgap-medientreff.de und www.dgap.de
---------------------------------------------------------------------------
Sprache: Deutsch
Unternehmen: Bayer Aktiengesellschaft
Kaiser-Wilhelm-Allee 1
51373 Leverkusen
Deutschland
Internet: www.bayer-ag.de
Ende der Mitteilung DGAP News-Service
---------------------------------------------------------------------------