1.75% Bond 2012 - 2022, CHF 150 000 000
Securities Number / ISIN / Common Code
 
18.616.400 / CH00186164007 / 079711357  
Company and issuer's office
Sika AG, Zugerstrasse 50, CH-6341 Baar
Coupons 1.75% p.a., payable annually at July 12, for the first time on July 12, 2013.
Price of issue
The syndicate banks have clearly confirmed the bond at the price of 100.928% (minus commissions).
Placement price
Placement price according to offer and demand.
Duration 10 years, fixed
Payment in full
July 12, 2012
Redemption July 12, 2022, in par
Standard units CHF 5'000 nominal, or a multiple thereof.
Listing Listing applied for SWX Swiss Exchange, main segment
Rating Longterm liabilities of Sika AG: Standard & Poor's A-.
Lead bank
UBS AG, acting through UBS Investment Bank