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Voting Rights

List and brief summary of the Notifications relating held 2014

Dates Notification relating
17 July 2014 Release of an announcement according to Section 25a, para. 1 of the WpHG
[the German Securities Trading Act]
WKN 843002
ISIN DE0008430026

We received the following notification pursuant to sec. 25a, para.1 WpHG:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 Munich, Germany

2. Notifier:
Société Générale SA, Paris, France

3. Triggering event:
Falling below Threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
11 July 2014

6. Total amount of voting rights:
4.95% (equals 8,555,560 voting rights)
calculated from the following total number of voting rights issued:
172,942,618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
4.80% (equals 8,294,924 voting rights)
thereof held indirectly: 1.48% (equals 2,550,999 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
0.10% (equals 177,359 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
0.05% (equals 83,277 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25aWpHG:

Chain of controlled undertakings:
Société Générale Effekten GmbH, Frankfurt a.M., Germany

ISIN or name/description of the financial/other instruments:
(Financial instrument / maturity date / ISIN)

§ 25a WpHG:
Equity Linked Swap 14.08.2014
Future 18.12.2015
Structured option (Call) 19.09.2014
Structured option (Call) 19.12.2014
Structured option (Call) 02.01.2015
Structured option (Call) 05.01.2015
Structured option (Call) 18.12.2015
Structured option (Call) 16.12.2016
Structured option (Call) 15.12.2017
Structured option (Call) 14.12.2018
Structured option (Call) 20.12.2019
Structured option (Call) 18.12.2020
Structured option (Call) 03.01.2025
Structured option (Call) 02.01.2015
Listed call warrant DE000SG4VVB3 19.09.2014
Listed call warrant DE000SG4VVC1 19.09.2014
Listed call warrant DE000SG4VVD9 19.09.2014
Listed call warrant DE000SG4VVE7 19.09.2014
Listed call warrant DE000SG4VVF4 19.09.2014
Listed call warrant DE000SG26ZJ7 19.12.2014
Listed call warrant DE000SG26ZK5 19.12.2014
Listed call warrant DE000SG26ZL3 19.12.2014
Listed call warrant DE000SG3UKT2 19.12.2014
Listed call warrant DE000SG3UKUO 19.12.2014
Listed call warrant DE000SG4VVG2 19.12.2014
Listed call warrant DE000SG2MB05 05.01.2015
Listed call warrant DE000SG2WUV5 05.01.2015
Listed call warrant DE000SG2WUW3 05.01.2015
Listed call warrant DE000SG3AVM6 05.01.2015
Listed call warrant DE000SG12HJ5 18.12.2015
Listed call warrant DE000SG12HK3 18.12.2015
Listed call warrant DE000SG2AKN9 18.12.2015
Listed call warrant DE000SG2HP71 18.12.2015
Listed call warrant DE000SG2HP89 18.12.2015
Listed call warrant DE000SG3UKV8 18.12.2015
Listed call warrant DE000SG3UKW6 18.12.2015
Listed call warrant DE000SG2LXN9 16.12.2016
Listed call warrant DE000SG2LXP4 16.12.2016
Listed call warrant DE000SG2LXQ2 16.12.2016
Listed call warrant DE000SG3UKX4 16.12.2016
Listed call warrant DE000SG3UKY2 16.12.2016
Listed call warrant DE000SG26ZM1 15.12.2017
Listed call warrant DE000SG2WBX1 15.12.2017
Listed call warrant DE000SG2WBY9 15.12.2017
Listed call warrant DE000SG47TW9 15.12.2017
Listed call warrant DE000SG32RM6 14.12.2018
Listed call warrant DE000SG32RN4 14.12.2018
Listed call warrant DE000SG32RP9 14.12.2018
Listed call warrant DE000SG47TX7 20.12.2019
Listed call warrant DE000SG47TY5 20.12.2019
Listed call warrant DE000SG47TZ2 20.12.2019
Listed call warrant DE000SG47T06 18.12.2020
Listed call warrant DE000SG47T14 18.12.2020
Listed call warrant DE000SG47T22 18.12.2020
Listed call warrant DE0008173535 03.01.2025
Listed call warrant DE000SG1CV87 03.01.2025
Listed call warrant DE000SG305F5 03.01.2025
Listed call warrant DE000SG3HXM7 03.01.2025
Listed call warrant DE000SG3N8H3 03.01.2025
Listed call warrant DE000SG4SLM7 03.01.2025
Listed call warrant DE000SG5L280 03.01.2025
Listed put warrant DE000SG4PHY6 19.12.2014
Listed put warrant DE000SG4PHZ3 19.12.2014
Listed put warrant DE000SG4SAC1 19.12.2014
Listed put warrant DE000SG4SAD9 19.12.2014
Listed put warrant DE000SG4SAE7 19.12.2014
Listed put warrant DE000SG4SAF4 19.12.2014
Listed put warrant DE000SG4UMM1 19.12.2014
Listed put warrant DE000SG4UMN9 19.12.2014
Listed put warrant DE000SG4UMP4 19.12.2014
Listed put warrant DE000SG4UMQ2 19.12.2014
Listed put warrant DE000SG4UMRO 19.12.2014
Listed put warrant DE000SG4UMS8 19.12.2014
Listed put warrant DE000SG4V8U5 19.12.2014
Listed put warrant DE000SG4V8V3 19.12.2014
Listed put warrant DE000SG4V8W1 19.12.2014
Listed put warrant DE000SG4V8X9 19.12.2014
Listed put warrant DE000SG4V8Y7 19.12.2014
Listed put warrant DE000SG5AED6 19.12.2014
Listed put warrant DE000SG5AEE4 19.12.2014
Listed put warrant DE000SG58208 19.12.2014
Listed put warrant DE000SG582Y3 19.12.2014
Listed put warrant DE000SG582ZO 19.12.2014
Listed put warrant DE000SG5MWL6 19.12.2014
Listed put warrant DE000SG5MWM4 19.12.2014
Listed put warrant DE000SG5MWN2 19.12.2014
Listed put warrant DE000SG5MWP7 19.12.2014
Listed put warrant DE000SG5P2S9 19.12.2014
Listed put warrant DE000SG5PCB2 19.12.2014
Listed put warrant DE000SG5PCCO 19.12.2014
Listed put warrant DE000SG5PRBO 19.12.2014
Listed put warrant DE000SG5PRC8 19.12.2014
Listed put warrant DE000SG501N1 19.12.2014
Listed put warrant DE000SG5Q1P6 19.12.2014
Listed put warrant DE000SG44Q51 20.03.2015
Listed put warrant DE000SG44Q69 20.03.2015
Listed put warrant DE000SG44Q85 20.03.2015
Listed put warrant DE000SG44Q93 20.03.2015
Listed put warrant DE000SG44RA6 20.03.2015
Listed put warrant DE000SG45X69 20.03.2015
Listed put warrant DE000SG45X77 20.03.2015
Listed put warrant DE000SG45X85 20.03.2015
Listed put warrant DE000SG460C5 20.03.2015
Listed put warrant DE000SG46003 20.03.2015
Listed put warrant DE000SG5AEF1 20.03.2015
Listed put warrant DE000SG5AEG9 20.03.2015
Listed put warrant DE000SG5AEH7 20.03.2015
Listed put warrant DE000SG5AEJ3 20.03.2015
Listed put warrant DE000SG5AEK1 20.03.2015
Listed put warrant DE000SG5B216 20.03.2015
Listed put warrant DE000SG58224 20.03.2015
Listed put warrant DE000SG58232 20.03.2015
Listed put warrant DE000SG58240 20.03.2015
Listed put warrant DE000SG5MWQ5 20.03.2015
Listed put warrant DE000SG5MWR3 20.03.2015
Listed put warrant DE000SG5MWS1 20.03.2015
Listed put warrant DE000SG5MWT9 20.03.2015
Listed put warrant DE000SG5MWU7 20.03.2015
Listed put warrant DE000SG5MWV5 20.03.2015
Listed put warrant DE000SG5MWW3 20.03.2015
Listed put warrant DE000SG5P2T7 20.03.2015
Listed put warrant DE000SG5PCD8 20.03.2015
Listed put warrant DE000SG43LR5 19.09.2014
Listed put warrant DE000SG43LS3 19.09.2014
Listed put warrant DE000SG44QY8 19.09.2014
Listed put warrant DE000SG44QZ5 19.09.2014
Listed put warrant DE000SG45X28 19.09.2014
Listed put warrant DE000SG45X36 19.09.2014
Listed put warrant DE000SG45X44 19.09.2014
Listed put warrant DE000SG4GJV7 19.09.2014
Listed put warrant DE000SG4GJW5 19.09.2014
Listed put warrant DE000SG4GJX3 19.09.2014
Listed put warrant DE000SG4H3X8 19.09.2014
Listed put warrant DE000SG4H3Y6 19.09.2014
Listed put warrant DE000SG4PHT6 19.09.2014
Listed put warrant DE000SG4PHU4 19.09.2014
Listed put warrant DE000SG4PHWO 19.09.2014
Listed put warrant DE000SG4PHX8 19.09.2014
Listed put warrant DE000SG4SAA5 19.09.2014
Listed put warrant DE000SG4SAB3 19.09.2014
Listed put warrant DE000SG4UMH1 19.09.2014
Listed put warrant DE000SG4UMJ7 19.09.2014
Listed put warrant DE000SG4UMK5 19.09.2014
Listed put warrant DE000SG4UML3 19.09.2014
Listed put warrant DE000SG4V8P5 19.09.2014
Listed put warrant DE000SG4V8Q3 19.09.2014
Listed put warrant DE000SG4V8R1 19.09.2014
Listed put warrant DE000SG4V8S9 19.09.2014
Listed put warrant DE000SG4V8T7 19.09.2014
Listed put warrant DE000SG5AD87 19.09.2014
Listed put warrant DE000SG5AEA2 19.09.2014
Listed put warrant DE000SG5AEBO 19.09.2014
Listed put warrant DE000SG582W7 19.09.2014
Listed put warrant DE000SG582X5 19.09.2014
Listed put warrant DE000SG5MWG6 19.09.2014
Listed put warrant DE000SG5MWH4 19.09.2014
Listed put warrant DE000SG5MWJO 19.09.2014
Listed put warrant DE000SG5MWK8 19.09.2014
Listed put warrant DE000SG5PB90 19.09.2014
Listed put warrant DE000SG5PCA4 19.09.2014
Listed put warrant DE000SG5PQ93 19.09.2014
Listed put warrant DE000SG5PRA2 19.09.2014
Listed put warrant DE000SG43LU9 19.12.2014
Listed put warrant DE000SG43LV7 19.12.2014
Listed put warrant DE000SG44Q02 19.12.2014
Listed put warrant DE000SG44Q10 19.12.2014
Listed put warrant DE000SG44Q28 19.12.2014
Listed put warrant DE000SG5PCE6 20.03.2015
Listed put warrant DE000SG5PRD6 20.03.2015
Listed put warrant DE000SG5PRE4 20.03.2015
Listed put warrant DE000SG5Q1Q4 20.03.2015
Listed put warrant DE000SG5Q1R2 20.03.2015
Listed put warrant DE000SG5Q1SO 20.03.2015
Listed put warrant DE000SG460E1 19.06.2015
Listed put warrant DE000SG460F8 19.06.2015
Listed put warrant DE000SG460G6 19.06.2015
Listed put warrant DE000SG5AEM7 19.06.2015
Listed put warrant DE000SG5AEN5 19.06.2015
Listed put warrant DE000SG5AEPO 19.06.2015
Listed put warrant DE000SG5AEQ8 19.06.2015
Listed put warrant DE000SG5AER6 19.06.2015
Listed put warrant DE000SG5AES4 19.06.2015
Listed put warrant DE000SG58257 19.06.2015
Listed put warrant DE000SG58265 19.06.2015
Listed put warrant DE000SG58273 19.06.2015
Listed put warrant DE000SG58281 19.06.2015
Listed put warrant DE000SG5MW07 19.06.2015
Listed put warrant DE000SG5MW15 19.06.2015
Listed put warrant DE000SG5MWX1 19.06.2015
Listed put warrant DE000SG5MWY9 19.06.2015
Listed put warrant DE000SG5MWZ6 19.06.2015
Listed put warrant DE000SG5P2U5 19.06.2015
Listed put warrant DE000SG5P2V3 19.06.2015
Listed put warrant DE000SG5P2W1 19.06.2015
Listed put warrant DE000SG5P2X9 19.06.2015
Listed put warrant DE000SG5P2Y7 19.06.2015
Listed put warrant DE000SG5P2Z4 19.06.2015
Listed put warrant DE000SG5PCF3 19.06.2015
Listed put warrant DE000SG5PRF1 19.06.2015
Listed put warrant DE000SG5PRG9 19.06.2015
Listed put warrant DE000SG5PRH7 19.06.2015
Listed put warrant DE000SG5PRJ3 19.06.2015
Listed put warrant DE000SG5Q1T8 19.06.2015
Listed put warrant DE000SG5Q1U6 19.06.2015
Listed put warrant DE000SG5REG3 19.06.2015
Listed put warrant DE000SG5V6U8 19.06.2015
Listed put warrant DE000SG44Q36 19.12.2014
Listed put warrant DE000SG44Q44 19.12.2014
Listed put warrant DE000SG45X51 19.12.2014
Listed put warrant DE000SG4P482 19.12.2014
Listed put warrant DE000SG4PH12 19.12.2014
Listed put warrant DE000SG4PH20 19.12.2014
Listed put warrant DE000SG4PH46 19.12.2014

§ 25 WpHG (physically-settled put options):
Listed put options 19.12.2014
Listed put options 19.06.2015
Listed put options 18.12.2015
Structured option (Put) 19.12.2014
Structured option (Put) 20.03.2015

Munich, 17 July 2014
The Board of Management
21 May 2014 Release of an announcement according to sec. 21 para. 1 of the WpHG
Wertpapierkennnummer 843002
ISIN DE0008430026

Commerzbank Aktiengesellschaft, Frankfurt am Main, Deutschland has informed us according to Section 21, para. 1 of the of the German Securities Trading Act (WpHG) on 16 May 2014 that via shares its voting rights in our company had fallen below the threshold of 3% and 5% on 9 May 2014 and amounted to 0.27% (462,750 voting rights) as per this date. Thereof 0.27% (460,326 voting rights) are attributable to it in accordance with Section 22, para. 1 sentence 1 item 6 and 0.0014% (2,424 voting rights) in accordance with Section 22, para. 1 sentence 1 item 6 in connection with sentence 2 of the WpHG.

Munich, 21 May 2014

The Board of Management
21 May 2014 Release of an announcement according to Section 25, para. 1 of the WpHG
[the German Securities Trading Act]
Wertpapierkennnummer 843002
ISIN DE0008430026

We received the following notifications pursuant to sec. 25 para. 1 WpHG on 16 May 2014:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 Munich, Germany

2. Notifier:
Commerzbank Aktiengesellschaft, Frankfurt a.M., Germany

3. Triggering event:
Falling below threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
9 May 2014

6. Total amount of voting rights:
0% (equals 0 voting rights)
calculated from the following total number of voting rights issued:
172,942,618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
0.00% (equals 0 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
0.27% (462,750 voting rights)

8. Detailed information on financial/other instruments:
-

Munich, 21 May 2014

The Board of Management
21 May 2014 Release of an announcement according to Section 25a, para. 1 of the WpHG
[the German Securities Trading Act]
Wertpapierkennnummer 843002
ISIN DE0008430026

We received the following notification pursuant to sec. 25a para. 1 WpHG on
16 May 2014:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 Munich, Germany

2. Notifier:
Commerzbank Aktiengesellschaft, Frankfurt, Germany

3. Triggering event:
Falling below threshold

4. Threshold(s) crossed or reached:
5% and 10%

5. Date at which the threshold is crossed or reached:
9 May 2014

6. Total amount of voting rights:
4.19% (equals 7,240,347 voting rights)
calculated from the following total number of voting rights issued:
172,942,618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
3.92% (equals 6,777,597 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
0.00% (equals 0 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
0.27% (462,750 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a
WpHG:

ISIN or name/description of the financial/other instrument:

- Short Put, Expiration date 16 May 2014
- Short Put, Expiration date 20 June 2014
- Short Put, Expiration date 18 July 2014
- Short Put, Expiration date 19 September 2014
- Short Put, Expiration date 19 December 2014
- Short Put, Expiration date 20 March 2015
- Short Put, Expiration date 19 June 2015
- Short Put, Expiration date 18 December 2015
- Short Put, Expiration date 16 December 2016
- Future, cash settlement, Maturity 16 May 2014
- Future, cash settlement, Maturity 20 June 2014

Munich, 21 May 2014

The Board of Management
16 May 2014 Release of an announcement according to Section 25a, para. 1 of the WpHG
[the German Securities Trading Act]
Wertpapierkennnummer 843002
ISIN DE0008430026
We received the following notification pursuant to sec. 25a, para.1 WpHG:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 Munich, Germany

2. Notifier:
Société Générale SA, Paris, France

3. Triggering event:
Exceeding Threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
09 May 2014

6. Total amount of voting rights:
5.09% (equals 8,800,293 voting rights)
calculated from the following total number of voting rights issued:
172,942,618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
4.99% (equals 8,630,010 voting rights)
thereof held indirectly: 1.52% (equals 2,634,450 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
0.10% (equals 170,283 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
0.00% (equals 0 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a
WpHG:

Chain of controlled undertakings:
Société Générale Effekten GmbH, Frankfurt, Germany

ISIN or name/description of the financial/other instruments:
(Financial instrument / maturity date / ISIN)

§ 25a WpHG:
Certificate 19.06.2014 DE000DX1SEM4
Equity Linked Swap 12.05.2014
Equity Linked Swap 14.05.2014
Equity Linked Swap 14.07.2014
Future 16.05.2014
Future 20.06.2014
Future 18.12.2015
OTC call option 20.06.2014
OTC call option 19.09.2014
OTC call option 19.12.2014
OTC call option 02.01.2015
OTC call option 05.01.2015
OTC call option 18.12.2015
OTC call option 16.12.2016
OTC call option 15.12.2017
OTC call option 14.12.2018
OTC call option 20.12.2019
OTC call option 18.12.2020
OTC call option 03.01.2025
OTC put option 02.01.2015
Listed call warrant 20.06.2014 DE000SG4VU66
Listed call warrant 20.06.2014 DE000SG4VU74
Listed call warrant 20.06.2014 DE000SG4VU82
Listed call warrant 20.06.2014 DE000SG4VU90
Listed call warrant 20.06.2014 DE000SG4VVA5
Listed call warrant 19.09.2014 DE000SG4VVB3
Listed call warrant 19.09.2014 DE000SG4VVC1
Listed call warrant 19.09.2014 DE000SG4VVD9
Listed call warrant 19.09.2014 DE000SG4VVE7
Listed call warrant 19.09.2014 DE000SG4VVF4
Listed call warrant 19.12.2014 DE000SG26ZJ7
Listed call warrant 19.12.2014 DE000SG26ZK5
Listed call warrant 19.12.2014 DE000SG26ZL3
Listed call warrant 19.12.2014 DE000SG3UKT2
Listed call warrant 19.12.2014 DE000SG3UKU0
Listed call warrant 19.12.2014 DE000SG4VVG2
Listed call warrant 05.01.2015 DE000SG2MB05
Listed call warrant 05.01.2015 DE000SG2WUV5
Listed call warrant 05.01.2015 DE000SG2WUW3
Listed call warrant 05.01.2015 DE000SG3AVM6
Listed call warrant 17.06.2015 DE000TD02DK8
Listed call warrant 18.12.2015 DE000SG12HJ5
Listed call warrant 18.12.2015 DE000SG12HK3
Listed call warrant 18.12.2015 DE000SG2AKN9
Listed call warrant 18.12.2015 DE000SG2HP71
Listed call warrant 18.12.2015 DE000SG2HP89
Listed call warrant 18.12.2015 DE000SG3UKV8
Listed call warrant 18.12.2015 DE000SG3UKW6
Listed call warrant 16.12.2016 DE000SG2LXN9
Listed call warrant 16.12.2016 DE000SG2LXP4
Listed call warrant 16.12.2016 DE000SG2LXQ2
Listed call warrant 16.12.2016 DE000SG3UKX4
Listed call warrant 16.12.2016 DE000SG3UKY2
Listed call warrant 15.12.2017 DE000SG26ZM1
Listed call warrant 15.12.2017 DE000SG2WBX1
Listed call warrant 15.12.2017 DE000SG2WBY9
Listed call warrant 15.12.2017 DE000SG47TW9
Listed call warrant 14.12.2018 DE000SG32RM6
Listed call warrant 14.12.2018 DE000SG32RN4
Listed call warrant 14.12.2018 DE000SG32RP9
Listed call warrant 20.12.2019 DE000SG47TX7
Listed call warrant 20.12.2019 DE000SG47TY5
Listed call warrant 20.12.2019 DE000SG47TZ2
Listed call warrant 18.12.2020 DE000SG47T06
Listed call warrant 18.12.2020 DE000SG47T14
Listed call warrant 18.12.2020 DE000SG47T22
Listed call warrant 03.01.2025 DE0008173535
Listed call warrant 03.01.2025 DE000SG1CV87
Listed call warrant 03.01.2025 DE000SG305F5
Listed call warrant 03.01.2025 DE000SG3HXM7
Listed call warrant 03.01.2025 DE000SG3N8H3
Listed call warrant 03.01.2025 DE000SG4SLM7
Listed call warrant 03.01.2025 DE000SG5L280
Listed put warrant 20.06.2014 DE000SG3VE18
Listed put warrant 20.06.2014 DE000SG44QT8
Listed put warrant 20.06.2014 DE000SG44QU6
Listed put warrant 20.06.2014 DE000SG44QW2
Listed put warrant 20.06.2014 DE000SG45X02
Listed put warrant 20.06.2014 DE000SG45X10
Listed put warrant 20.06.2014 DE000SG45XZ8
Listed put warrant 20.06.2014 DE000SG4A4E3
Listed put warrant 20.06.2014 DE000SG4A4F0
Listed put warrant 20.06.2014 DE000SG4AQ00
Listed put warrant 20.06.2014 DE000SG4AQ18
Listed put warrant 20.06.2014 DE000SG4AQ26
Listed put warrant 20.06.2014 DE000SG4AQY9
Listed put warrant 20.06.2014 DE000SG4AQZ6
Listed put warrant 20.06.2014 DE000SG4BUP7
Listed put warrant 20.06.2014 DE000SG4BUQ5
Listed put warrant 20.06.2014 DE000SG4GJQ7
Listed put warrant 20.06.2014 DE000SG4GJR5
Listed put warrant 20.06.2014 DE000SG4GJS3
Listed put warrant 20.06.2014 DE000SG4GJT1
Listed put warrant 20.06.2014 DE000SG4H3V2
Listed put warrant 20.06.2014 DE000SG4R983
Listed put warrant 20.06.2014 DE000SG4R991
Listed put warrant 20.06.2014 DE000SG4UME8
Listed put warrant 20.06.2014 DE000SG4UMG3
Listed put warrant 20.06.2014 DE000SG4V8J8
Listed put warrant 20.06.2014 DE000SG4V8K6
Listed put warrant 20.06.2014 DE000SG4V8L4
Listed put warrant 20.06.2014 DE000SG4V8M2
Listed put warrant 20.06.2014 DE000SG4V8N0
Listed put warrant 20.06.2014 DE000SG5AD79
Listed put warrant 20.06.2014 DE000SG5B2T3
Listed put warrant 20.06.2014 DE000SG5B2U1
Listed put warrant 20.06.2014 DE000SG5B2V9
Listed put warrant 20.06.2014 DE000SG5CKF4
Listed put warrant 19.09.2014 DE000SG43LR5
Listed put warrant 19.09.2014 DE000SG43LS3
Listed put warrant 19.09.2014 DE000SG44QY8
Listed put warrant 19.09.2014 DE000SG44QZ5
Listed put warrant 19.09.2014 DE000SG45X28
Listed put warrant 19.09.2014 DE000SG45X36
Listed put warrant 19.09.2014 DE000SG45X44
Listed put warrant 19.09.2014 DE000SG4GJV7
Listed put warrant 19.09.2014 DE000SG4GJW5
Listed put warrant 19.09.2014 DE000SG4GJX3
Listed put warrant 19.09.2014 DE000SG4H3X8
Listed put warrant 19.09.2014 DE000SG4H3Y6
Listed put warrant 19.09.2014 DE000SG4PHT6
Listed put warrant 19.09.2014 DE000SG4PHU4
Listed put warrant 19.09.2014 DE000SG4PHW0
Listed put warrant 19.09.2014 DE000SG4PHX8
Listed put warrant 19.09.2014 DE000SG4SAA5
Listed put warrant 19.09.2014 DE000SG4SAB3
Listed put warrant 19.09.2014 DE000SG4UMH1
Listed put warrant 19.09.2014 DE000SG4UMJ7
Listed put warrant 19.09.2014 DE000SG4UMK5
Listed put warrant 19.09.2014 DE000SG4UML3
Listed put warrant 19.09.2014 DE000SG4V8P5
Listed put warrant 19.09.2014 DE000SG4V8Q3
Listed put warrant 19.09.2014 DE000SG4V8R1
Listed put warrant 19.09.2014 DE000SG4V8S9
Listed put warrant 19.09.2014 DE000SG4V8T7
Listed put warrant 19.09.2014 DE000SG5AD87
Listed put warrant 19.09.2014 DE000SG5AEA2
Listed put warrant 19.09.2014 DE000SG5AEB0
Listed put warrant 19.09.2014 DE000SG5B2W7
Listed put warrant 19.09.2014 DE000SG5B2X5
Listed put warrant 19.12.2014 DE000SG43LU9
Listed put warrant 19.12.2014 DE000SG43LV7
Listed put warrant 19.12.2014 DE000SG44Q02
Listed put warrant 19.12.2014 DE000SG44Q10
Listed put warrant 19.12.2014 DE000SG44Q28
Listed put warrant 19.12.2014 DE000SG44Q36
Listed put warrant 19.12.2014 DE000SG44Q44
Listed put warrant 19.12.2014 DE000SG45X51
Listed put warrant 19.12.2014 DE000SG4P4B2
Listed put warrant 19.12.2014 DE000SG4PH12
Listed put warrant 19.12.2014 DE000SG4PH20
Listed put warrant 19.12.2014 DE000SG4PH46
Listed put warrant 19.12.2014 DE000SG4PHY6
Listed put warrant 19.12.2014 DE000SG4PHZ3
Listed put warrant 19.12.2014 DE000SG4SAC1
Listed put warrant 19.12.2014 DE000SG4SAD9
Listed put warrant 19.12.2014 DE000SG4SAE7
Listed put warrant 19.12.2014 DE000SG4SAF4
Listed put warrant 19.12.2014 DE000SG4UMM1
Listed put warrant 19.12.2014 DE000SG4UMN9
Listed put warrant 19.12.2014 DE000SG4UMP4
Listed put warrant 19.12.2014 DE000SG4UMQ2
Listed put warrant 19.12.2014 DE000SG4UMR0
Listed put warrant 19.12.2014 DE000SG4UMS8
Listed put warrant 19.12.2014 DE000SG4V8U5
Listed put warrant 19.12.2014 DE000SG4V8V3
Listed put warrant 19.12.2014 DE000SG4V8W1
Listed put warrant 19.12.2014 DE000SG4V8X9
Listed put warrant 19.12.2014 DE000SG4V8Y7
Listed put warrant 19.12.2014 DE000SG5AED6
Listed put warrant 19.12.2014 DE000SG5AEE4
Listed put warrant 19.12.2014 DE000SG5B208
Listed put warrant 19.12.2014 DE000SG5B2Y3
Listed put warrant 19.12.2014 DE000SG5B2Z0
Listed put warrant 20.03.2015 DE000SG44Q51
Listed put warrant 20.03.2015 DE000SG44Q69
Listed put warrant 20.03.2015 DE000SG44Q85
Listed put warrant 20.03.2015 DE000SG44Q93
Listed put warrant 20.03.2015 DE000SG44RA6
Listed put warrant 20.03.2015 DE000SG45X69
Listed put warrant 20.03.2015 DE000SG45X77
Listed put warrant 20.03.2015 DE000SG45X85
Listed put warrant 20.03.2015 DE000SG460C5
Listed put warrant 20.03.2015 DE000SG460D3
Listed put warrant 20.03.2015 DE000SG5AEF1
Listed put warrant 20.03.2015 DE000SG5AEG9
Listed put warrant 20.03.2015 DE000SG5AEH7
Listed put warrant 20.03.2015 DE000SG5AEJ3
Listed put warrant 20.03.2015 DE000SG5AEK1
Listed put warrant 20.03.2015 DE000SG5B216
Listed put warrant 20.03.2015 DE000SG5B224
Listed put warrant 20.03.2015 DE000SG5B232
Listed put warrant 20.03.2015 DE000SG5B240
Listed put warrant 19.06.2015 DE000SG460E1
Listed put warrant 19.06.2015 DE000SG460F8
Listed put warrant 19.06.2015 DE000SG460G6
Listed put warrant 19.06.2015 DE000SG5AEM7
Listed put warrant 19.06.2015 DE000SG5AEN5
Listed put warrant 19.06.2015 DE000SG5AEP0
Listed put warrant 19.06.2015 DE000SG5AEQ8
Listed put warrant 19.06.2015 DE000SG5AER6
Listed put warrant 19.06.2015 DE000SG5AES4
Listed put warrant 19.06.2015 DE000SG5B257
Listed put warrant 19.06.2015 DE000SG5B265
Listed put warrant 19.06.2015 DE000SG5B273
Listed put warrant 19.06.2015 DE000SG5B281

§ 25 WpHG (Physically-settled put options):
OTC put option 30.05.2014
OTC put option 19.12.2014
Listed put option 20.06.2014
Listed put option 19.12.2014
Listed put option 19.06.2015

Munich, 16 May 2014

The Board of Management
12 May 2014 Release of an announcement according to sec. 21 para. 1 and sec. 24 of the WpHG
Wertpapierkennnummer 843002
ISIN DE0008430026

Commerzbank Aktiengesellschaft, Frankfurt am Main, Deutschland has informed us according to Section 21, para. 1 of the of the German Securities Trading Act (WpHG) on 8 May 2014 that via shares its voting rights in our company had exceeded the threshold of 3% and 5% on 5 May 2014 and amounted to 5.32% (9,193,895  voting rights) as per this date. Thereof 0.26% (452,148 voting rights) are attributable to it in accordance with Section 22, para. 1 sentence 1 item 6 and 0.0014% (2,424 voting rights) in accordance with Section 22, para. 1 sentence 1 item 6 in connection with sentence 2 of the WpHG.

Munich, 12 May 2014

The Board of Management
12 May 2014 Release of an announcement according to Section 25, para. 1 of the WpHG
[the German Securities Trading Act]
Wertpapierkennnummer 843002
ISIN DE0008430026

We received the following notifications pursuant to sec. 25 para. 1 WpHG on 8 May 2014:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Commerzbank Aktiengesellschaft, Frankfurt, Deutschland

3. Triggering event:
Exceeding threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
5 May 2014

6. Total amount of voting rights:
7.74% (equals 13,392,995 voting rights)
calculated from the following total number of voting rights issued: 172,942,618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
2.43 % (equals 4,199,100 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
5.32 % (9,193,895 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:

ISIN or name/description of the financial/other instrument:

- Reclaim of securities lending, maturity up to further
- Call Option, physical settlement, expiration date 16 May 2014
- Call Option, physical settlement, expiration date 20 June 2014
- Call Option, physical settlement, expiration date 18 July 2014
- Call Option, physical settlement, expiration date 19 September 2014
- Call Option, physical settlement, expiration date 19 December 2014
- Call Option, physical settlement, expiration date 20 March 2015
- Call Option, physical settlement, expiration date 19 June 2015
- Call Option, physical settlement, expiration date 18 December 2015

Munich, 12 May 2014

The Board of Management
12 May 2014 Release of an announcement according to Section 25a, para. 1 of the WpHG
[the German Securities Trading Act]
Wertpapierkennnummer 843002
ISIN DE0008430026

We received the following notifications pursuant to sec. 25a para. 1 WpHG on 8 May 2014:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Commerzbank Aktiengesellschaft, Frankfurt, Deutschland

3. Triggering event:
Exceeding threshold

4. Threshold(s) crossed or reached:
5% and 10%

5. Date at which the threshold is crossed or reached:
5 May 2014

6. Total amount of voting rights:
11.65% (equals 20,151,192 voting rights)
calculated from the following total number of voting rights issued: 172,942,618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
3.91% (equals 6,758,197 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
2.43 % (equals 4,199,100 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
5.32% (9,193,895 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:

ISIN or name/description of the financial/other instrument:

- Short Put, Expiration date 16  May 2014
- Short Put, Expiration date 20 June 2014
- Short Put, Expiration date 18 July 2014
- Short Put, Expiration date 19 September 2014
- Short Put, Expiration date 19 December 2014
- Short Put, Expiration date 20 March 2015
- Short Put, Expiration date 19 June 2015
- Short Put, Expiration date 18 December 2015
- Short Put, Expiration date 16 December 2016
- Future, cash settlement, Maturity 16 May 2014
- Future, cash settlement, Maturity 20 June 2014

Munich, 12 May 2014

The Board of Management
9 May 2014 Release of an announcement according to Section 25a, para. 1 of the WpHG
[the German Securities Trading Act]
WKN 843002
ISIN DE0008430026

We received the following notifications pursuant to sec. 25a para. 1 WpHG on 8 May 2014:

Notification I:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
UBS AG, Zurich, Switzerland

3. Triggering event:
Exceeding threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
2 May 2014

6. Total amount of voting rights:
5.35% (equals 9259585 voting rights)
calculated from the following total number of voting rights issued:
172942618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
1.86% (equals 3222096 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
1.15% (equals 1989299 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
2.34% (4048190 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:

ISIN or name/description of the financial/other instrument:

- Physical Settled Short Put Option, expiry 20 June 2014
- Physical Settled Short Put Option, expiry 19 September 2014
- Physical Settled Short Put Option, expiry 19 June 2015
- Physical Settled Short Put Option, expiry 19 December 2014
- Physical Settled Short Put Option, expiry 18 December 2015
- Physical Settled Short Put Option, expiry 16 December 2016
- Equity Future, expiry 20 June 2014
- Equity Future, expiry 16 May 2014
- Equity Swap, expiry 30 June 2015
- Equity Swap, expiry 03 July 2017
- Equity Swap, expiry 19 February 2015
- Equity Swap, expiry 01 April 2016
- Equity Swap, expiry 05 January 2017
- Equity Swap, expiry 15 January 2018
- Equity Swap, expiry 14 November 2016
- Equity Swap, expiry 22 February 2018
- Equity Swap, expiry 10 January 2018
- Equity Swap, expiry 04 February 2015
- Equity Swap, expiry 05 May 2014

Notification II:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
UBS AG, Zurich, Switzerland

3. Triggering event:
Falling below threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
6 May 2014

6. Total amount of voting rights:
3.78% (equals 6535823 voting rights)
calculated from the following total number of voting rights issued:
172942618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
0.48% (equals 824433 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
1.02% (equals 1765717 voting rights)
thereof held indirectly: 0.00% (equals 0 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
2.28% (equals 3945673 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:

Chain of controlled undertakings:

ISIN or name/description of the financial/other instrument:

- Physical Settled Short Put Option, expiry 20 June 2014
- Physical Settled Short Put Option, expiry 19 September 2014
- Physical Settled Short Put Option, expiry 19 June 2015
- Physical Settled Short Put Option, expiry 19 December 2014
- Physical Settled Short Put Option, expiry 18 December 2015
- Physical Settled Short Put Option, expiry 16 December 2016
- Equity Future, expiry 20 June 2014
- Equity Future, expiry 16 May 2014
- Equity Swap, expiry 30 June 2015
- Equity Swap, expiry 03 July 2017
- Equity Swap, expiry 19 February 2015
- Equity Swap, expiry 01 April 2016
- Equity Swap, expiry 15 January 2018
- Equity Swap, expiry 22 February 2018
- Equity Swap, expiry 10 January 2018

Munich, 9 May 2014

The Board of Management
9 May 2014 Release of an announcement according to Section 25a, para. 1 of the WpHG
[the German Securities Trading Act]
WKN 843002
ISIN DE0008430026

We received the following notifications pursuant to sec. 25a para. 1 WpHG on 7 May 2014:

Notification I:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Credit Suisse Group AG, Zurich, Switzerland

3. Triggering event:
Falling below threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
2 May 2014

6. Total amount of voting rights:
4.93% (equals 8521935 voting rights)

calculated from the following total number of voting rights issued:
172942618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
0.54% (equals 930909 voting rights)
thereof held indirectly:
0.54% (equals 930909 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
3.24% (equals 5598985 voting rights)
thereof held indirectly:
3.24% (equals 5598985 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
1.15% (equals 1992041 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:

Chain of controlled undertakings:
Credit Suisse AG, Credit Suisse International, Credit Suisse Investments (UK), Credit Suisse Investment Holdings (UK), Credit Suisse Securities (Europe) Limited

ISIN or name/description of the financial/other instrument:

- Long Call Option, Cash Settlement, expiry 30 June.2014
- Long Call Option, Cash Settlement, expiry 30 June.2016
- Short Put Option, Physical Settlement, expiry 16 May 2014
- Short Put Option, Physical Settlement, expiry 20 June 2014
- Short Put Option, Physical Settlement, expiry 18 July 2014
- Short Put Option, Physical Settlement, expiry 19 September 2014
- Short Put Option, Physical Settlement, expiry 19 December 2014
- Short Put Option, Physical Settlement, expiry 20 March 2015
- Short Put Option, Physical Settlement, expiry 19 June 2015
- Equity Swap, cash settlement, expiry 30 May 2014
- Equity Swap, cash settlement, expiry 08 September 2014
- Equity Swap, cash settlement, expiry 31 October 2014
- Equity Swap, cash settlement, expiry 29 December 2014
- Equity Swap, cash settlement, expiry 08 January 2015
- Equity Swap, cash settlement, expiry 12 January 2015
- Equity Swap, cash settlement, expiry 02 February 2015
- Equity Swap, cash settlement, expiry 13 March 2015
- Equity Swap, cash settlement, expiry 13 May 2015
- Equity Swap, cash settlement, expiry 15 May 2015
- Equity Swap, cash settlement, expiry 03 July 2015
- Equity Swap, cash settlement, expiry 07 September 2015
- Equity Swap, cash settlement, expiry 15 December 2015
- Equity Swap, cash settlement, expiry 18 July 2016
- Equity Swap, cash settlement, expiry 02 October 2017
- Equity Swap, cash settlement, expiry 08 May 2014 

Notification II:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Credit Suisse AG, Zurich, Switzerland

3. Triggering event:
Falling below threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
2 May 2014

6. Total amount of voting rights:
4.93% (equals 8521935 voting rights) calculated from the following total number of voting rights issued:
172942618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
0.54% (equals 930909 voting rights)
thereof held indirectly:
0.44% (equals 765309 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
3.24% (equals 5598985 voting rights)
thereof held indirectly:
3.00% (equals 5187530 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
1.15% (equals 1992041 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:

Chain of controlled undertakings:
Credit Suisse International, Credit Suisse Investments (UK), Credit Suisse Investment Holdings (UK), Credit Suisse Securities (Europe) Limited

ISIN or name/description of the financial/other instrument:

- Long Call Option, Cash Settlement, expiry 30 June.2014
- Long Call Option, Cash Settlement, expiry 30 June.2016
- Short Put Option, Physical Settlement, expiry 16 May 2014
- Short Put Option, Physical Settlement, expiry 20 June 2014
- Short Put Option, Physical Settlement, expiry 18 July 2014
- Short Put Option, Physical Settlement, expiry 19 September 2014
- Short Put Option, Physical Settlement, expiry 19 December 2014
- Short Put Option, Physical Settlement, expiry 20 March 2015
- Short Put Option, Physical Settlement, expiry 19 June 2015
- Equity Swap, cash settlement, expiry 30 May 2014
- Equity Swap, cash settlement, expiry 08 September 2014
- Equity Swap, cash settlement, expiry 31 October 2014
- Equity Swap, cash settlement, expiry 29 December 2014
- Equity Swap, cash settlement, expiry 08 January 2015
- Equity Swap, cash settlement, expiry 12 January 2015
- Equity Swap, cash settlement, expiry 02 February 2015
- Equity Swap, cash settlement, expiry 13 March 2015
- Equity Swap, cash settlement, expiry 13 May 2015
- Equity Swap, cash settlement, expiry 15 May 2015
- Equity Swap, cash settlement, expiry 03 July 2015
- Equity Swap, cash settlement, expiry 07 September 2015
- Equity Swap, cash settlement, expiry 15 December 2015
- Equity Swap, cash settlement, expiry 18 July 2016
- Equity Swap, cash settlement, expiry 02 October 2017
- Equity Swap, cash settlement, expiry 08 May 2014

Notification III:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Credit Suisse Investments (UK), London, England

3. Triggering event:
Falling below threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
2 May 2014

6. Total amount of voting rights:
4.00% (equals 6922037 voting rights)
calculated from the following total number of voting rights issued:
172942618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
0.12% (equals 210762 voting rights)
thereof held indirectly:
0.12% (equals 210762 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
2.77% (equals 4785490 voting rights)
thereof held indirectly:
2.77% (equals 4785490 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
1.11% (equals 1925785 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:

Chain of controlled undertakings:
Credit Suisse Investment Holdings (UK), Credit Suisse Securities (Europe) Limited

ISIN or name/description of the financial/other instrument:

- Long Call Option, Cash Settlement, expiry 30 June.2014
- Long Call Option, Cash Settlement, expiry 30 June.2016
- Short Put Option, Physical Settlement, expiry 16 May 2014
- Short Put Option, Physical Settlement, expiry 20 June 2014
- Short Put Option, Physical Settlement, expiry 18 July 2014
- Short Put Option, Physical Settlement, expiry 19 September 2014
- Short Put Option, Physical Settlement, expiry 19 December 2014
- Short Put Option, Physical Settlement, expiry 20 March 2015
- Short Put Option, Physical Settlement, expiry 19 June 2015
- Equity Swap, cash settlement, expiry 30 May 2014
- Equity Swap, cash settlement, expiry 08 September 2014
- Equity Swap, cash settlement, expiry 31 October 2014
- Equity Swap, cash settlement, expiry 29 December 2014
- Equity Swap, cash settlement, expiry 08 January 2015
- Equity Swap, cash settlement, expiry 12 January 2015
- Equity Swap, cash settlement, expiry 02 February 2015
- Equity Swap, cash settlement, expiry 13 March 2015
- Equity Swap, cash settlement, expiry 13 May 2015
- Equity Swap, cash settlement, expiry 15 May 2015
- Equity Swap, cash settlement, expiry 03 July 2015
- Equity Swap, cash settlement, expiry 07 September 2015
- Equity Swap, cash settlement, expiry 15 December 2015
- Equity Swap, cash settlement, expiry 18 July 2016
- Equity Swap, cash settlement, expiry 02 October 2017
- Equity Swap, cash settlement, expiry 08 May 2014

Notification IV:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Credit Suisse Investment Holdings (UK), London, England

3. Triggering event:
Falling below threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
2 May 2014

6. Total amount of voting rights:
4.00% (equals 6922037 voting rights)

calculated from the following total number of voting rights issued:
172942618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
0.12% (equals 210762 voting rights)
thereof held indirectly:
0.12% (equals 210762 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
2.77% (equals 4785490 voting rights)
thereof held indirectly:
2.77% (equals 4785490 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
1.11% (equals 1925785 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:

Chain of controlled undertakings:
Credit Suisse Securities (Europe) Limited

ISIN or name/description of the financial/other instrument:

- Long Call Option, Cash Settlement, expiry 30 June.2014
- Long Call Option, Cash Settlement, expiry 30 June.2016
- Short Put Option, Physical Settlement, expiry 16 May 2014
- Short Put Option, Physical Settlement, expiry 20 June 2014
- Short Put Option, Physical Settlement, expiry 18 July 2014
- Short Put Option, Physical Settlement, expiry 19 September 2014
- Short Put Option, Physical Settlement, expiry 19 December 2014
- Short Put Option, Physical Settlement, expiry 20 March 2015
- Short Put Option, Physical Settlement, expiry 19 June 2015
- Equity Swap, cash settlement, expiry 30 May 2014
- Equity Swap, cash settlement, expiry 08 September 2014
- Equity Swap, cash settlement, expiry 31 October 2014
- Equity Swap, cash settlement, expiry 29 December 2014
- Equity Swap, cash settlement, expiry 08 January 2015
- Equity Swap, cash settlement, expiry 12 January 2015
- Equity Swap, cash settlement, expiry 02 February 2015
- Equity Swap, cash settlement, expiry 13 March 2015
- Equity Swap, cash settlement, expiry 13 May 2015
- Equity Swap, cash settlement, expiry 15 May 2015
- Equity Swap, cash settlement, expiry 03 July 2015
- Equity Swap, cash settlement, expiry 07 September 2015
- Equity Swap, cash settlement, expiry 15 December 2015
- Equity Swap, cash settlement, expiry 18 July 2016
- Equity Swap, cash settlement, expiry 02 October 2017
- Equity Swap, cash settlement, expiry 08 May 2014

Notification V:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Credit Suisse Securities (Europe) Limited, London, England

3. Triggering event:
Falling below threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
2 May 2014

6. Total amount of voting rights:
4.00% (equals 6922037 voting rights)

calculated from the following total number of voting rights issued:
172942618

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
0.12% (equals 210762 voting rights)
thereof held indirectly:
0% (equals 0 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
2.77% (equals 4785490 voting rights)
thereof held indirectly:
0% (equals 0 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
1.11% (equals 1925785 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:

Chain of controlled undertakings:

ISIN or name/description of the financial/other instrument:

- Long Call Option, Cash Settlement, expiry 30 June.2014
- Long Call Option, Cash Settlement, expiry 30 June.2016
- Short Put Option, Physical Settlement, expiry 16 May 2014
- Short Put Option, Physical Settlement, expiry 20 June 2014
- Short Put Option, Physical Settlement, expiry 18 July 2014
- Short Put Option, Physical Settlement, expiry 19 September 2014
- Short Put Option, Physical Settlement, expiry 19 December 2014
- Short Put Option, Physical Settlement, expiry 20 March 2015
- Short Put Option, Physical Settlement, expiry 19 June 2015
- Equity Swap, cash settlement, expiry 30 May 2014
- Equity Swap, cash settlement, expiry 08 September 2014
- Equity Swap, cash settlement, expiry 31 October 2014
- Equity Swap, cash settlement, expiry 29 December 2014
- Equity Swap, cash settlement, expiry 08 January 2015
- Equity Swap, cash settlement, expiry 12 January 2015
- Equity Swap, cash settlement, expiry 02 February 2015
- Equity Swap, cash settlement, expiry 13 March 2015
- Equity Swap, cash settlement, expiry 13 May 2015
- Equity Swap, cash settlement, expiry 15 May 2015
- Equity Swap, cash settlement, expiry 03 July 2015
- Equity Swap, cash settlement, expiry 07 September 2015
- Equity Swap, cash settlement, expiry 15 December 2015
- Equity Swap, cash settlement, expiry 18 July 2016
- Equity Swap, cash settlement, expiry 02 October 2017
- Equity Swap, cash settlement, expiry 08 May 2014

Munich, 9 May 2014

The Board of Management
30 April 2014 Release of a Voting rights announcement according to Section 26 para. 1 sentence 2 WpHG
[German Securities Trading Act] (Own shares)
WKN 843002
ISIN DE0008430026

On 30 April 2014, Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München, Munich, Germany, had fallen below the threshold of 3% in own shares and as of this date held 0.00% (this corresponds to 0 shares).

Munich, 30 April 2014

The Board of Management
28 April 2014 Release of an announcement according to Section 25a, para. 1 of the WpHG
[the German Securities Trading Act]
WKN 843002
ISIN DE0008430026

We received the following notifications pursuant to sec. 25a para. 1 WpHG on 28 April 2014:

Notification I:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Credit Suisse Group AG, Zürich, Schweiz

3. Triggering event:
Exceeding threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
23 April 2014

6. Total amount of voting rights:
6.13% (equals 10996780 voting rights) calculated from the following total number of voting rights issued:
179341212

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
2.72% (equals 4886837 voting rights)
thereof held indirectly: 2.72% (equals 4886837 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
0.89% (equals 1592335 voting rights)
thereof held indirectly: 0.89% (equals 1592335 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
2.52% (equals 4517608 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:
Chain of controlled undertakings:
Credit Suisse AG, Credit Suisse International, Credit Suisse Investments (UK), Credit Suisse Investment Holdings (UK), Credit Suisse Securities (Europe) Limited

ISIN or name/description of the financial/other instrument:

- Long Call Option, Cash Settlement, expiry 30 June.2014
- Short Put Option, Physical Settlement, expiry 16 May 2014
- Short Put Option, Physical Settlement, expiry 20 June 2014
- Short Put Option, Physical Settlement, expiry 19 September 2014
- Short Put Option, Physical Settlement, expiry 19 December 2014
- Short Put Option, Physical Settlement, expiry 20 March 2015
- Short Put Option, Physical Settlement, expiry 19 June 2015
- Equity Swap, cash settlement, expiry 08 May 2014
- Equity Swap, cash settlement, expiry 30 May 2014
- Equity Swap, cash settlement, expiry 31 October 2014
- Equity Swap, cash settlement, expiry 03 November 2014
- Equity Swap, cash settlement, expiry 04 November 2014
- Equity Swap, cash settlement, expiry 29 December 2014
- Equity Swap, cash settlement, expiry 08 January 2015
- Equity Swap, cash settlement, expiry 12 January 2015
- Equity Swap, cash settlement, expiry 13 March 2015
- Equity Swap, cash settlement, expiry 07 April 2015
- Equity Swap, cash settlement, expiry 13 May 2015
- Equity Swap, cash settlement, expiry 15 May 2015
- Equity Swap, cash settlement, expiry 03 July 2015
- Equity Swap, cash settlement, expiry 07 September 2015
- Equity Swap, cash settlement, expiry 15 December 2015
- Equity Swap, cash settlement, expiry 18 July 2016
- Equity Swap, cash settlement, expiry 02 October 2017

Notification II:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Credit Suisse AG, Zurich, Switzerland

3. Triggering event:
Exceeding threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
23 April 2014

6. Total amount of voting rights:
6.13% (equals 10996780 voting rights)  calculated from the following total number of voting rights issued:
179341212

7. Detailed information on the voting rights proportion:
Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
2.72% (equals 4886837 voting rights)
thereof held indirectly: 2.63% (equals 4722937 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
0.89% (equals 1592335 voting rights)
thereof held indirectly: 0.63% (equals 1135735 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
2.52% (equals 4517608 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:
Chain of controlled undertakings:
Credit Suisse International, Credit Suisse Investments (UK), Credit Suisse
Investment Holdings (UK), Credit Suisse Securities (Europe) Limited

ISIN or name/description of the financial/other instrument:

- Long Call Option, Cash Settlement, expiry 30 June.2014
- Short Put Option, Physical Settlement, expiry 16 May 2014
- Short Put Option, Physical Settlement, expiry 20 June 2014
- Short Put Option, Physical Settlement, expiry 19 September 2014
- Short Put Option, Physical Settlement, expiry 19 December 2014
- Short Put Option, Physical Settlement, expiry 20 March 2015
- Short Put Option, Physical Settlement, expiry 19 June 2015
- Equity Swap, cash settlement, expiry 08 May 2014
- Equity Swap, cash settlement, expiry 30 May 2014
- Equity Swap, cash settlement, expiry 31 October 2014
- Equity Swap, cash settlement, expiry 03 November 2014
- Equity Swap, cash settlement, expiry 04 November 2014
- Equity Swap, cash settlement, expiry 29 December 2014
- Equity Swap, cash settlement, expiry 08 January 2015
- Equity Swap, cash settlement, expiry 12 January 2015
- Equity Swap, cash settlement, expiry 13 March 2015
- Equity Swap, cash settlement, expiry 07 April 2015
- Equity Swap, cash settlement, expiry 13 May 2015
- Equity Swap, cash settlement, expiry 15 May 2015
- Equity Swap, cash settlement, expiry 03 July 2015
- Equity Swap, cash settlement, expiry 07 September 2015
- Equity Swap, cash settlement, expiry 15 December 2015
- Equity Swap, cash settlement, expiry 18 July 2016
- Equity Swap, cash settlement, expiry 02 October 2017

Notification III:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Credit Suisse Investments (UK), London, England

3. Triggering event:
Exceeding threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
23 April 2014

6. Total amount of voting rights:
5.26% (equals 9439037 voting rights) calculated from the following total number of voting rights issued:
179341212

7. Detailed information on the voting rights proportion:

Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
2.32% (equals 4168390 voting rights)
thereof held indirectly: 2.32% (equals 4168390 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
0.44% (equals 794308 voting rights)
thereof held indirectly: 0.44% (equals 794308 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
2.50% (equals 4476339 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:
Chain of controlled undertakings:
Credit Suisse Investment Holdings (UK), Credit Suisse Securities (Europe) Limited

ISIN or name/description of the financial/other instrument:

- Long Call Option, Cash Settlement, expiry 30 June.2014
- Short Put Option, Physical Settlement, expiry 16 May 2014
- Short Put Option, Physical Settlement, expiry 20 June 2014
- Short Put Option, Physical Settlement, expiry 19 September 2014
- Short Put Option, Physical Settlement, expiry 19 December 2014
- Short Put Option, Physical Settlement, expiry 20 March 2015
- Short Put Option, Physical Settlement, expiry 19 June 2015
- Equity Swap, cash settlement, expiry 08 May 2014
- Equity Swap, cash settlement, expiry 30 May 2014
- Equity Swap, cash settlement, expiry 31 October 2014
- Equity Swap, cash settlement, expiry 03 November 2014
- Equity Swap, cash settlement, expiry 04 November 2014
- Equity Swap, cash settlement, expiry 29 December 2014
- Equity Swap, cash settlement, expiry 08 January 2015
- Equity Swap, cash settlement, expiry 12 January 2015
- Equity Swap, cash settlement, expiry 13 March 2015
- Equity Swap, cash settlement, expiry 07 April 2015
- Equity Swap, cash settlement, expiry 13 May 2015
- Equity Swap, cash settlement, expiry 15 May 2015
- Equity Swap, cash settlement, expiry 03 July 2015
- Equity Swap, cash settlement, expiry 07 September 2015
- Equity Swap, cash settlement, expiry 15 December 2015
- Equity Swap, cash settlement, expiry 18 July 2016
- Equity Swap, cash settlement, expiry 02 October 2017

Notification IV:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Credit Suisse Investment Holdings (UK), London, England

3. Triggering event:
Exceeding threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
23 April 2014

6. Total amount of voting rights:
5.26% (equals 9439037 voting rights) calculated from the following total number of voting rights issued:
179341212

7. Detailed information on the voting rights proportion:
Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
2.32% (equals 4168390 voting rights)
thereof held indirectly: 2.32% (equals 4168390 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
0.44% (equals 794308 voting rights)
thereof held indirectly: 0.44% (equals 794308 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
2.50% (equals 4476339 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:
Chain of controlled undertakings:
Credit Suisse Securities (Europe) Limited

ISIN or name/description of the financial/other instrument:

- Long Call Option, Cash Settlement, expiry 30 June.2014
- Short Put Option, Physical Settlement, expiry 16 May 2014
- Short Put Option, Physical Settlement, expiry 20 June 2014
- Short Put Option, Physical Settlement, expiry 19 September 2014
- Short Put Option, Physical Settlement, expiry 19 December 2014
- Short Put Option, Physical Settlement, expiry 20 March 2015
- Short Put Option, Physical Settlement, expiry 19 June 2015
- Equity Swap, cash settlement, expiry 08 May 2014
- Equity Swap, cash settlement, expiry 30 May 2014
- Equity Swap, cash settlement, expiry 31 October 2014
- Equity Swap, cash settlement, expiry 03 November 2014
- Equity Swap, cash settlement, expiry 04 November 2014
- Equity Swap, cash settlement, expiry 29 December 2014
- Equity Swap, cash settlement, expiry 08 January 2015
- Equity Swap, cash settlement, expiry 12 January 2015
- Equity Swap, cash settlement, expiry 13 March 2015
- Equity Swap, cash settlement, expiry 07 April 2015
- Equity Swap, cash settlement, expiry 13 May 2015
- Equity Swap, cash settlement, expiry 15 May 2015
- Equity Swap, cash settlement, expiry 03 July 2015
- Equity Swap, cash settlement, expiry 07 September 2015
- Equity Swap, cash settlement, expiry 15 December 2015
- Equity Swap, cash settlement, expiry 18 July 2016
- Equity Swap, cash settlement, expiry 02 October 2017

Notification V:

1. Listed company:
Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
Königinstraße 107, 80802 München, Deutschland

2. Notifier:
Credit Suisse Securities (Europe) Limited, London, England

3. Triggering event:
Exceeding threshold

4. Threshold(s) crossed or reached:
5%

5. Date at which the threshold is crossed or reached:
23 April 2014

6. Total amount of voting rights:
5.26% (equals 9439037 voting rights) calculated from the following total number of voting rights issued:
179341212

7. Detailed information on the voting rights proportion:
Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
2.32% (equals 4168390 voting rights)
thereof held indirectly: 0% (equals 0 voting rights)

Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
0.44% (equals 794308 voting rights)
thereof held indirectly: 0% (equals 0 voting rights)

Voting rights pursuant to sec. 21, 22 WpHG:
2.50% (equals 4476339 voting rights)

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:
Chain of controlled undertakings:

ISIN or name/description of the financial/other instrument:

- Long Call Option, Cash Settlement, expiry 30 June.2014
- Short Put Option, Physical Settlement, expiry 16 May 2014
- Short Put Option, Physical Settlement, expiry 20 June 2014
- Short Put Option, Physical Settlement, expiry 19 September 2014
- Short Put Option, Physical Settlement, expiry 19 December 2014
- Short Put Option, Physical Settlement, expiry 20 March 2015
- Short Put Option, Physical Settlement, expiry 19 June 2015
- Equity Swap, cash settlement, expiry 08 May 2014
- Equity Swap, cash settlement, expiry 30 May 2014
- Equity Swap, cash settlement, expiry 31 October 2014
- Equity Swap, cash settlement, expiry 03 November 2014
- Equity Swap, cash settlement, expiry 04 November 2014
- Equity Swap, cash settlement, expiry 29 December 2014
- Equity Swap, cash settlement, expiry 08 January 2015
- Equity Swap, cash settlement, expiry 12 January 2015
- Equity Swap, cash settlement, expiry 13 March 2015
- Equity Swap, cash settlement, expiry 07 April 2015
- Equity Swap, cash settlement, expiry 13 May 2015
- Equity Swap, cash settlement, expiry 15 May 2015
- Equity Swap, cash settlement, expiry 03 July 2015
- Equity Swap, cash settlement, expiry 07 September 2015
- Equity Swap, cash settlement, expiry 15 December 2015
- Equity Swap, cash settlement, expiry 18 July 2016
- Equity Swap, cash settlement, expiry 02 October 2017

Munich, 28 April 2014

The Board of Management
26 March 2014 Release of a Voting rights announcement according to Section 26 para. 1 sentence 2 WpHG [German Securities Trading Act] (Own shares)
WKN 843002
ISIN DE0008430026
 
On 25 March 2014, Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München, Munich, Germany, exceeded the threshold of 3% in own shares and as of this date held 3.03% (this corresponds to 5,433,731 shares).
 
Munich, 26 March 2014
 
The Board of Management
13 March 2014 Release of an announcement according to Section 25a, para. 1 of the WpHG
[the German Securities Trading Act]
Wertpapierkennnummer 843002
ISIN DE0008430026

The People's Bank of China / SAFE, Beijing, China, on behalf of the People's Republic of China informed us in accordance with Section 21, para. 1 of the German Securities Trading Act (WpHG) as follows: The share of the voting rights of the People's Republic of China in our company had fallen below the threshold of 3% on 5 March 2014 and amounted to 2.9974% (5,375,602 voting rights) as per this date. These voting rights are attributable to the People's Republic of China in accordance with Section 22, para. 1 sentence 1 item 1 of the WpHG.

In addition People's Bank of China / SAFE, Beijing, China, informed us in accordance with Section 21, para. 1 of the German Securities Trading Act (WpHG) that its share of the voting rights in our company had fallen below the threshold of 3% on 5 March 2014 and amounted to 2.9974% (5,375,602 voting rights) as per this date.

Munich, 13 March 2014

The Board of Management


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