COMMERZBANK AG: Post Stabilisation - Bayer AG €2bn 3 tranche

Post-stabilisation notice                            
14th February, 2014 
Not for distribution, directly or indirectly, in or into the United States or
any jurisdiction in which such distribution would be unlawful. 


                           Bayer Aktiengesellschaft                            
               €500,000,000 Floating Rate Notes due January 2016              
                   €750,000,000 1.125% Notes due 24th January 2018               
                   €750,000,000 1.875% Notes due 25th January 2021               
                                Stabilisation Notice                              

Commerzbank AG (contact: Ian Turner; telephone: 44-207-475-1817) hereby gives
notice that no stabilisation (in accordance with Commission Regulation (EC) No.
2273/2003) was undertaken by the Stabilising Manager(s) in relation to the
offer of the following securities.

Issuer:                   Bayer Aktiengesellschaft                         


                                                                       
Guarantor (if any):       n/a                                               
                                                                       
ISIN:                     XS1023268060                                      


                                                                           
                          XS1023268490                                     
                                                                           
                          XS1023268573                                     


                                                                       
Aggregate nominal amount: €500,000,000                                      


                                                                           
                          €750,000,000                                     
                                                                           
                          €750,000,000                                     


                                                                       
Description:              Frn due January 2016                              


                                                                           
                          1.125% Notes due 24th January 2018               
                                                                           
                          1.875% Notes due 25th January 2021               


                                                                       
Stabilisation Manager     Coordinating Stabilsation Manager:               
(s):                                                                        


                          Commerzbank Aktiengesellschaft                   
                                                                           
                          Stabilisation Managers                           
                                                                           
                          Bank of America Merrill Lynch                    
                                                                           
                          Barclays Bank plc                                
                                                                           
                          Credit Suisse                                    
                                                                           
                          Morgan Stanley & Co. International               
                                                                           
                          Societe Generale Corporate & Investment Banking  
                                                                           
                          UBS Investment Bank                              

This announcement is for information purposes only and does not constitute an
invitation or offer to underwrite, subscribe for or otherwise acquire or
dispose of any securities of the Issuer in any jurisdiction.

This announcement is not for distribution, directly or indirectly, in or into
the United States or any other jurisdiction in which such distribution would be
unlawful.



END

-0- Feb/14/2014 13:46 GMT


 
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