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Release of an announcement according to Section 25a, para. 1 of the WpHG

[the German Securities Trading Act]

2019/11/26

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    WKN 843002
    ISIN DE0008430026
    (Credit Suisse)

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

    Notification I:

    1. Listed company:

    Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
    Königinstr. 107, 80802 Munich, Germany

    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:

    28 April 2015

    6. Total amount of voting rights:

    3.22% (equals 5,375,729 voting rights)
    calculated from the following total number of voting rights issued:
    166,843,961

    7. Detailed information on the voting rights proportion:

    Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
    0.41% (equals 690,468 voting rights)
    thereof held indirectly: 0.41% (equals 690,468 voting rights)

    Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
    1.86% (equals 3,099,118 voting rights)
    thereof held indirectly: 1.86% (equals 3,099,118 voting rights)

    Voting rights pursuant to sec. 21, 22 WpHG:
    0.95% (equals 1,586,143 voting rights)

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

    Chain of controlled undertakings:
    Credit Suisse AG, Credit Suisse Guernsey Branch, 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:
    - Equity Swap, cash settlement, expiry 05 May 2015
    - Equity Swap, cash settlement, expiry 04 June 2015
    - Equity Swap, cash settlement, expiry 08 July 2015
    - Equity Swap, cash settlement, expiry 04 August 2015
    - Equity Swap, cash settlement, expiry 05 October 2015
    - Equity Swap, cash settlement, expiry 08 October 2015
    - Equity Swap, cash settlement, expiry 15 December 2015
    - Equity Swap, cash settlement, expiry 24 December 2015
    - Equity Swap, cash settlement, expiry 31 December 2015
    - Equity Swap, cash settlement, expiry 08 February 2016
    - Equity Swap, cash settlement, expiry 03 May 2016
    - Equity Swap, cash settlement, expiry 19 May 2016
    - Equity Swap, cash settlement, expiry 02 June 2016
    - Equity Swap, cash settlement, expiry 13 June 2016
    - Equity Swap, cash settlement, expiry 04 July 2016
    - Equity Swap, cash settlement, expiry 14 July 2016
    - Equity Swap, cash settlement, expiry 02 September 2016
    - Equity Swap, cash settlement, expiry 04 October 2016
    - Equity Swap, cash settlement, expiry 03 January 2017
    - Equity Swap, cash settlement, expiry 02 February 2017
    - Long Call Option, Cash Settlement, expiry 19 June 2015
    - Long Call Option, Cash Settlement, expiry 17 June 2016
    - Long Call Option, Cash Settlement, expiry 30 June 2016
    - Short Put Option, Cash Settlement, expiry 19 June 2015
    - Short Put Option, Cash Settlement, expiry 17 June 2016
    - Short Put Option, Physical Settlement, expiry 08 May 2015
    - Short Put Option, Physical Settlement, expiry 12 June 2015
    - Short Put Option, Physical Settlement, expiry 11 September 2015
    - Short Put Option, Physical Settlement, expiry 11 December 2015
    - Short Put Option, Physical Settlement, expiry 10 June 2016
    - Short Put Option, Physical Settlement, expiry 09 December 2016

    Notification II:

    1. Listed company:

    Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
    Königinstr. 107, 80802 Munich, Germany

    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:

    28 April 2015

    6. Total amount of voting rights:

    3.22% (equals 5,375,729 voting rights)
    calculated from the following total number of voting rights issued:
    166,843,961

    7. Detailed information on the voting rights proportion:

    Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
    0.41% (equals 690,468 voting rights)
    thereof held indirectly: 0.30% (equals 498,673 voting rights)

    Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
    1.86% (equals 3,099,118 voting rights)
    thereof held indirectly: 1.65% (equals 2,747,409 voting rights)

    Voting rights pursuant to sec. 21, 22 WpHG:
    0.95% (equals 1,586,143 voting rights)

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

    Chain of controlled undertakings:
    Credit Suisse Guernsey Branch, 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:
    - Equity Swap, cash settlement, expiry 05 May 2015
    - Equity Swap, cash settlement, expiry 04 June 2015
    - Equity Swap, cash settlement, expiry 08 July 2015
    - Equity Swap, cash settlement, expiry 04 August 2015
    - Equity Swap, cash settlement, expiry 05 October 2015
    - Equity Swap, cash settlement, expiry 08 October 2015
    - Equity Swap, cash settlement, expiry 15 December 2015
    - Equity Swap, cash settlement, expiry 24 December 2015
    - Equity Swap, cash settlement, expiry 31 December 2015
    - Equity Swap, cash settlement, expiry 08 February 2016
    - Equity Swap, cash settlement, expiry 03 May 2016
    - Equity Swap, cash settlement, expiry 19 May 2016
    - Equity Swap, cash settlement, expiry 02 June 2016
    - Equity Swap, cash settlement, expiry 13 June 2016
    - Equity Swap, cash settlement, expiry 04 July 2016
    - Equity Swap, cash settlement, expiry 14 July 2016
    - Equity Swap, cash settlement, expiry 02 September 2016
    - Equity Swap, cash settlement, expiry 04 October 2016
    - Equity Swap, cash settlement, expiry 03 January 2017
    - Equity Swap, cash settlement, expiry 02 February 2017
    - Long Call Option, Cash Settlement, expiry 19 June 2015
    - Long Call Option, Cash Settlement, expiry 17 June 2016
    - Long Call Option, Cash Settlement, expiry 30 June 2016
    - Short Put Option, Cash Settlement, expiry 19 June 2015
    - Short Put Option, Cash Settlement, expiry 17 June 2016
    - Short Put Option, Physical Settlement, expiry 08 May 2015
    - Short Put Option, Physical Settlement, expiry 12 June 2015
    - Short Put Option, Physical Settlement, expiry 11 September 2015
    - Short Put Option, Physical Settlement, expiry 11 December 2015
    - Short Put Option, Physical Settlement, expiry 10 June 2016
    - Short Put Option, Physical Settlement, expiry 09 December 2016

    Notification III:

    1. Listed company:

    Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
    Königinstr. 107, 80802 Munich, Germany

    2. Notifier:

    Credit Suisse Investments (UK), London, UK

    3. Triggering event:

    Falling below threshold

    4. Threshold(s) crossed or reached:

    5%

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

    28 April 2015

    6. Total amount of voting rights:

    2.51% (equals 4,191,705 voting rights)
    calculated from the following total number of voting rights issued:
    166,843,961

    7. Detailed information on the voting rights proportion:

    Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
    0.30% (equals 497,701 voting rights)
    thereof held indirectly: 0.30% (equals 497,701 voting rights)

    Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
    1.30% (equals 2,174,205 voting rights)
    thereof held indirectly: 1.30% (equals 2,174,205 voting rights)

    Voting rights pursuant to sec. 21, 22 WpHG:
    0.91% (equals 1,519,799 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:

    - Equity Swap, cash settlement, expiry 05 May 2015
    - Equity Swap, cash settlement, expiry 04 June 2015
    - Equity Swap, cash settlement, expiry 08 July 2015
    - Equity Swap, cash settlement, expiry 04 August 2015
    - Equity Swap, cash settlement, expiry 05 October 2015
    - Equity Swap, cash settlement, expiry 08 October 2015
    - Equity Swap, cash settlement, expiry 15 December 2015
    - Equity Swap, cash settlement, expiry 24 December 2015
    - Equity Swap, cash settlement, expiry 31 December 2015
    - Equity Swap, cash settlement, expiry 08 February 2016
    - Equity Swap, cash settlement, expiry 03 May 2016
    - Equity Swap, cash settlement, expiry 19 May 2016
    - Equity Swap, cash settlement, expiry 02 June 2016
    - Equity Swap, cash settlement, expiry 13 June 2016
    - Equity Swap, cash settlement, expiry 04 July 2016
    - Equity Swap, cash settlement, expiry 14 July 2016
    - Equity Swap, cash settlement, expiry 02 September 2016
    - Equity Swap, cash settlement, expiry 04 October 2016
    - Equity Swap, cash settlement, expiry 03 January 2017
    - Equity Swap, cash settlement, expiry 02 February 2017
    - Long Call Option, Cash Settlement, expiry 19 June 2015
    - Long Call Option, Cash Settlement, expiry 17 June 2016
    - Long Call Option, Cash Settlement, expiry 30 June 2016
    - Short Put Option, Cash Settlement, expiry 19 June 2015
    - Short Put Option, Cash Settlement, expiry 17 June 2016
    - Short Put Option, Physical Settlement, expiry 08 May 2015
    - Short Put Option, Physical Settlement, expiry 12 June 2015
    - Short Put Option, Physical Settlement, expiry 11 September 2015
    - Short Put Option, Physical Settlement, expiry 11 December 2015
    - Short Put Option, Physical Settlement, expiry 10 June 2016
    - Short Put Option, Physical Settlement, expiry 09 December 2016

    Notification IV:

    1. Listed company:

    Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
    Königinstr. 107, 80802 Munich, Germany

    2. Notifier:

    Credit Suisse Investment Holdings (UK), London, UK

    3. Triggering event:

    Falling below threshold

    4. Threshold(s) crossed or reached:

    5%

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

    28 April 2015

    6. Total amount of voting rights:

    2.51% (equals 4,191,705 voting rights)
    calculated from the following total number of voting rights issued:
    166,843,961

    7. Detailed information on the voting rights proportion:

    Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
    0.30% (equals 497,701 voting rights)
    thereof held indirectly: 0.30% (equals 497,701 voting rights)

    Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
    1.30% (equals 2,174,205 voting rights)
    thereof held indirectly: 1.30% (equals 2,174,205 voting rights)

    Voting rights pursuant to sec. 21, 22 WpHG:
    0.91% (equals 1,519,799 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:
    - Equity Swap, cash settlement, expiry 05 May 2015
    - Equity Swap, cash settlement, expiry 04 June 2015
    - Equity Swap, cash settlement, expiry 08 July 2015
    - Equity Swap, cash settlement, expiry 04 August 2015
    - Equity Swap, cash settlement, expiry 05 October 2015
    - Equity Swap, cash settlement, expiry 08 October 2015
    - Equity Swap, cash settlement, expiry 15 December 2015
    - Equity Swap, cash settlement, expiry 24 December 2015
    - Equity Swap, cash settlement, expiry 31 December 2015
    - Equity Swap, cash settlement, expiry 08 February 2016
    - Equity Swap, cash settlement, expiry 03 May 2016
    - Equity Swap, cash settlement, expiry 19 May 2016
    - Equity Swap, cash settlement, expiry 02 June 2016
    - Equity Swap, cash settlement, expiry 13 June 2016
    - Equity Swap, cash settlement, expiry 04 July 2016
    - Equity Swap, cash settlement, expiry 14 July 2016
    - Equity Swap, cash settlement, expiry 02 September 2016
    - Equity Swap, cash settlement, expiry 04 October 2016
    - Equity Swap, cash settlement, expiry 03 January 2017
    - Equity Swap, cash settlement, expiry 02 February 2017
    - Long Call Option, Cash Settlement, expiry 19 June 2015
    - Long Call Option, Cash Settlement, expiry 17 June 2016
    - Long Call Option, Cash Settlement, expiry 30 June 2016
    - Short Put Option, Cash Settlement, expiry 19 June 2015
    - Short Put Option, Cash Settlement, expiry 17 June 2016
    - Short Put Option, Physical Settlement, expiry 08 May 2015
    - Short Put Option, Physical Settlement, expiry 12 June 2015
    - Short Put Option, Physical Settlement, expiry 11 September 2015
    - Short Put Option, Physical Settlement, expiry 11 December 2015
    - Short Put Option, Physical Settlement, expiry 10 June 2016
    - Short Put Option, Physical Settlement, expiry 09 December 2016

    Notification V:

    1. Listed company:

    Münchener Rückversicherungs-Gesellschaft Aktiengesellschaft in München
    Königinstr. 107, 80802 Munich, Germany

    2. Notifier:

    Credit Suisse Securities (Europe) Limited, London, UK

    3. Triggering event:

    Falling below threshold

    4. Threshold(s) crossed or reached:

    5%

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

    28 April 2015

    6. Total amount of voting rights:

    2.51% (equals 4,191,705 voting rights)
    calculated from the following total number of voting rights issued:
    166,843,961

    7. Detailed information on the voting rights proportion:

    Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
    0.30% (equals 497,701 voting rights)
    thereof held indirectly: 0% (equals 0 voting rights)

    Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
    1.30% (equals 2,174,205 voting rights)
    thereof held indirectly: 0% (equals 0 voting rights)

    Voting rights pursuant to sec. 21, 22 WpHG:
    0.91% (equals 1,519,799 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:
    - Equity Swap, cash settlement, expiry 05 May 2015
    - Equity Swap, cash settlement, expiry 04 June 2015
    - Equity Swap, cash settlement, expiry 08 July 2015
    - Equity Swap, cash settlement, expiry 04 August 2015
    - Equity Swap, cash settlement, expiry 05 October 2015
    - Equity Swap, cash settlement, expiry 08 October 2015
    - Equity Swap, cash settlement, expiry 15 December 2015
    - Equity Swap, cash settlement, expiry 24 December 2015
    - Equity Swap, cash settlement, expiry 31 December 2015
    - Equity Swap, cash settlement, expiry 08 February 2016
    - Equity Swap, cash settlement, expiry 03 May 2016
    - Equity Swap, cash settlement, expiry 19 May 2016
    - Equity Swap, cash settlement, expiry 02 June 2016
    - Equity Swap, cash settlement, expiry 13 June 2016
    - Equity Swap, cash settlement, expiry 04 July 2016
    - Equity Swap, cash settlement, expiry 14 July 2016
    - Equity Swap, cash settlement, expiry 02 September 2016
    - Equity Swap, cash settlement, expiry 04 October 2016
    - Equity Swap, cash settlement, expiry 03 January 2017
    - Equity Swap, cash settlement, expiry 02 February 2017
    - Long Call Option, Cash Settlement, expiry 19 June 2015
    - Long Call Option, Cash Settlement, expiry 17 June 2016
    - Long Call Option, Cash Settlement, expiry 30 June 2016
    - Short Put Option, Cash Settlement, expiry 19 June 2015
    - Short Put Option, Cash Settlement, expiry 17 June 2016
    - Short Put Option, Physical Settlement, expiry 08 May 2015
    - Short Put Option, Physical Settlement, expiry 12 June 2015
    - Short Put Option, Physical Settlement, expiry 11 September 2015
    - Short Put Option, Physical Settlement, expiry 11 December 2015
    - Short Put Option, Physical Settlement, expiry 10 June 2016
    - Short Put Option, Physical Settlement, expiry 09 December 2016


    Munich, 6 May 2015
    The Board of Management