Issuer:
|
Deutsche
Telekom International Finance B.V.
|
Guarantor:
|
Deutsche
Telekom AG
|
Guarantor
Ratings (1):
|
Fitch:
BBB+; Moody’s: Baa1; S&P: BBB+
|
Principal
Amount:
|
$750,000,000
|
Security
Type:
|
Senior
Notes
|
Legal
Format:
|
SEC
Registered
|
Settlement
Date:
|
June
22, 2009
|
Maturity
Date:
|
July 8,
2014
|
Public
Offering Price:
|
99.587%
of principal amount
|
Coupon:
|
4.875%
|
Benchmark
Treasury:
|
UST
2.250% due May 31, 2014
|
Treasury
Spot:
|
2.718%
|
Re-offer
Yield:
|
4.968%
|
Interest
Payment Dates:
|
Semi-annually
on January 8th and July 8th, commencing on January 8,
2010
|
Day
Count Convention:
|
30/360
|
Redemption:
|
Make-whole
call, at any time at a discount rate of comparable Treasury yield plus
0.20% as described in the preliminary prospectus
supplement
|
Defeasance:
|
Yes,
as described in the base prospectus
|
Denominations:
|
$75,000,
and increments of $1,000 above
|
CUSIP:
|
25156P
AM5
|
ISIN:
|
US25156PAM59
|
Bookrunners:
|
Barclays
Capital Inc.
Citigroup
Global Markets, Inc.
|
Co-managers:
|
BBVA
Securities Inc.
RBS
Securities Inc.
SG
Americas Securities, LLC
Unicredit
Capital Markets, Inc.
|
Issuer:
|
Deutsche
Telekom International Finance B.V.
|
Guarantor:
|
Deutsche
Telekom AG
|
Guarantor
Ratings (1):
|
Fitch:
BBB+; Moody’s: Baa1; S&P: BBB+
|
Principal
Amount:
|
$750,000,000
|
Security
Type:
|
Senior
Notes
|
Legal
Format:
|
SEC
Registered
|
Settlement
Date:
|
June
22, 2009
|
Maturity
Date:
|
July 8,
2019
|
Public
Offering Price:
|
99.371%
of principal amount
|
Coupon:
|
6.000%
|
Benchmark
Treasury:
|
UST
3.125% due May 15, 2019
|
Treasury
Spot:
|
3.709%
|
Re-offer
Yield:
|
6.084%
|
Interest
Payment Dates:
|
Semi-annually
on January 8th and July 8th, commencing on January 8,
2010
|
Day
Count Convention:
|
30/360
|
Redemption:
|
Make-whole
call, at any time at a discount rate of comparable Treasury yield plus
0.20% as described in the preliminary prospectus
supplement
|
Defeasance:
|
Yes,
as described in the base prospectus
|
Denominations:
|
$75,000,
and increments of $1,000 above
|
CUSIP:
|
25156P
AN3
|
ISIN:
|
US25156PAN33
|
Bookrunners:
|
Barclays
Capital Inc.
Citigroup
Global Markets, Inc.
|
Co-managers:
|
BBVA
Securities Inc.
RBS
Securities Inc.
SG
Americas Securities, LLC
Unicredit
Capital Markets, Inc.
|