DGAP-PVR: Allianz SE: Release according to Article 26, Section 1 of the WpHG [the German Securities Trading Act] with the

 DGAP-PVR: Allianz SE: Release according to Article 26, Section 1 of the WpHG  [the German Securities Trading Act] with the objective of Europe-wide  distribution  Allianz SE   19.05.2014 11:08  Dissemination of a Voting Rights Announcement, transmitted by DGAP - a company of EQS Group AG. The issuer is solely responsible for the content of this announcement. ---------------------------------------------------------------------------   1. Notification of voting rights pursuant to Art. 25a, Sec. 1 WpHG On May 15, 2014 we received the following notification pursuant to Art. 25a, Sec. 1 WpHG:  Listed company: Allianz SE Königinstr. 28, 80802 Munich, Germany  Notifier: Credit Suisse Group AG, Zurich, Switzerland   Triggering event: Falling below threshold  Threshold(s) crossed or reached: 5%  Date at which the threshold is crossed or reached: 12.05.2014  Total amount of voting rights: 4.45% (equals 20317326 voting rights) calculated from the following total number of voting rights issued: 456500000  Detailed information on the voting rights proportion:  Voting rights proportion based on financial/other instruments pursuant to Art. 25a, Sec. 1 WpHG: 1.71% (equals 7794173 voting rights)  thereof held indirectly: 1.71% (equals 7794173 voting rights)  Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG: 2.59% (equals 11819247 voting rights)  thereof held indirectly: 2.59% (equals 11819247 voting rights)  Voting rights pursuant to sec. 21, 22 WpHG: 0.15% (equals 703906 voting rights)  Detailed information on financial/other instruments pursuant to Art. 25a, Sec. 1 WpHG:  Chain of controlled undertakings: Credit Suisse AG, Credit Suisse International, Credit Suisse Life & Pensions AG, Credit Suisse Life (Bermuda) Ltd., Credit Suisse Investments (UK), Credit Suisse Investment Holdings (UK), Credit Suisse Securities (Europe) Limited  ISIN or name/description of the  (financial/other) instrument, Expiration date  Long Call Option, Cash Settlement, 19.12.2014 Short Put Option, Physical Settlement, 16.05.2014 Short Put Option, Physical Settlement, 20.06.2014 Short Put Option, Physical Settlement, 18.07.2014 Short Put Option, Physical Settlement, 19.09.2014 Short Put Option, Physical Settlement, 19.12.2014 Short Put Option, Physical Settlement, 20.03.2015 Short Put Option, Physical Settlement, 19.06.2015 Short Put Option, Physical Settlement, 18.12.2015 Equity Swap, cash settlement, 04.06.2014 Equity Swap, cash settlement, 05.08.2014 Equity Swap, cash settlement, 21.10.2014 Equity Swap, cash settlement, 31.10.2014 Equity Swap, cash settlement, 03.11.2014 Equity Swap, cash settlement, 06.11.2014 Equity Swap, cash settlement, 07.11.2014 Equity Swap, cash settlement, 20.11.2014 Equity Swap, cash settlement, 29.12.2014 Equity Swap, cash settlement, 08.01.2015 Equity Swap, cash settlement, 27.01.2015 Equity Swap, cash settlement, 02.02.2015 Equity Swap, cash settlement, 13.05.2015 Equity Swap, cash settlement, 07.09.2015 Equity Swap, cash settlement, 15.12.2015 Equity Swap, cash settlement, 28.04.2017    ----------------- 2. Notification of voting rights pursuant to Art. 25a, Sec. 1 WpHG On May 15, 2014 we received the following notification pursuant to Art. 25a, Sec. 1 WpHG:  Listed company: Allianz SE Königinstr. 28, 80802 Munich, Germany  Notifier: Credit Suisse AG, Zurich, Switzerland  Triggering event: Falling below threshold  Threshold(s) crossed or reached: 5%  Date at which the threshold is crossed or reached: 12.05.2014  Total amount of voting rights: 4.45% (equals 20317326 voting rights) calculated from the following total number of voting rights issued: 456500000  Detailed information on the voting rights proportion:  Voting rights proportion based on financial/other instruments pursuant to Art. 25a, Sec. 1 WpHG: 1.71% (equals 7794173 voting rights)  thereof held indirectly: 1.57% (equals 7160473 voting rights)  Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG: 2.59% (equals 11819247 voting rights)  thereof held indirectly: 2.39% (equals 10902647 voting rights)  Voting rights pursuant to sec. 21, 22 WpHG: 0.15% (equals 703906 voting rights)  Detailed information on financial/other instruments pursuant to Art. 25a, Sec. 1 WpHG:  Chain of controlled undertakings: Credit Suisse International, Credit Suisse Life & Pensions AG, Credit Suisse Life (Bermuda) Ltd., Credit Suisse Investments (UK), Credit Suisse Investment Holdings (UK), Credit Suisse Securities (Europe) Limited  ISIN or name/description of the  (financial/other) instrument, Expiration date  Long Call Option, Cash Settlement, 19.12.2014 Short Put Option, Physical Settlement, 16.05.2014 Short Put Option, Physical Settlement, 20.06.2014 Short Put Option, Physical Settlement, 18.07.2014 Short Put Option, Physical Settlement, 19.09.2014 Short Put Option, Physical Settlement, 19.12.2014 Short Put Option, Physical Settlement, 20.03.2015 Short Put Option, Physical Settlement, 19.06.2015 Short Put Option, Physical Settlement, 18.12.2015 Equity Swap, cash settlement, 04.06.2014 Equity Swap, cash settlement, 05.08.2014 Equity Swap, cash settlement, 21.10.2014 Equity Swap, cash settlement, 31.10.2014 Equity Swap, cash settlement, 03.11.2014 Equity Swap, cash settlement, 06.11.2014 Equity Swap, cash settlement, 07.11.2014 Equity Swap, cash settlement, 20.11.2014 Equity Swap, cash settlement, 29.12.2014 Equity Swap, cash settlement, 08.01.2015 Equity Swap, cash settlement, 27.01.2015 Equity Swap, cash settlement, 02.02.2015 Equity Swap, cash settlement, 13.05.2015 Equity Swap, cash settlement, 07.09.2015 Equity Swap, cash settlement, 15.12.2015 Equity Swap, cash settlement, 28.04.2017   -------------------  3. Notification of voting rights pursuant to Art. 25a, Sec. 1 WpHG On May 15, 2014 we received the following notification pursuant to Art. 25a, Sec. 1 WpHG:  Listed company: Allianz SE Königinstr. 28, 80802 Munich, Germany  Notifier: Credit Suisse Investments (UK), London, United Kingdom (UK)  Triggering event: Falling below threshold  Threshold(s) crossed or reached: 5%  Date at which the threshold is crossed or reached: 12.05.2014  Total amount of voting rights: 3.88% (equals 17708057 voting rights) calculated from the following total number of voting rights issued: 456500000  Detailed information on the voting rights proportion:  Voting rights proportion based on financial/other instruments pursuant to Art. 25a, Sec. 1 WpHG: 1.53% (equals 6991573 voting rights)  thereof held indirectly: 1.53% (equals 6991573 voting rights)  Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG: 2.35% (equals 10716484 voting rights)  thereof held indirectly: 2.35% (equals 10716484 voting rights)  Voting rights pursuant to sec. 21, 22 WpHG: 0% (equals 0 voting rights)  Detailed information on financial/other instruments pursuant to Art. 25a, Sec. 1 WpHG:  Chain of controlled undertakings: Credit Suisse Investment Holdings (UK), Credit Suisse Securities (Europe) Limited  ISIN or name/description of the  (financial/other) instrument, Expiration date  Long Call Option, Cash Settlement, 19.12.2014 Short Put Option, Physical Settlement, 16.05.2014 Short Put Option, Physical Settlement, 20.06.2014 Short Put Option, Physical Settlement, 18.07.2014 Short Put Option, Physical Settlement, 19.09.2014 Short Put Option, Physical Settlement, 19.12.2014 Short Put Option, Physical Settlement, 20.03.2015 Short Put Option, Physical Settlement, 19.06.2015 Short Put Option, Physical Settlement, 18.12.2015 Equity Swap, cash settlement, 04.06.2014 Equity Swap, cash settlement, 05.08.2014 Equity Swap, cash settlement, 21.10.2014 Equity Swap, cash settlement, 31.10.2014 Equity Swap, cash settlement, 03.11.2014 Equity Swap, cash settlement, 06.11.2014 Equity Swap, cash settlement, 07.11.2014 Equity Swap, cash settlement, 20.11.2014 Equity Swap, cash settlement, 29.12.2014 Equity Swap, cash settlement, 08.01.2015 Equity Swap, cash settlement, 27.01.2015 Equity Swap, cash settlement, 02.02.2015 Equity Swap, cash settlement, 13.05.2015 Equity Swap, cash settlement, 07.09.2015 Equity Swap, cash settlement, 15.12.2015 Equity Swap, cash settlement, 28.04.2017   -------------------- 4. Notification of voting rights pursuant to Art. 25a, Sec. 1 WpHG On May 15, 2014 we received the following notification pursuant to Art. 25a, Sec. 1 WpHG:   Listed company: Allianz SE Königinstr. 28, 80802 Munich, Germany  Notifier: Credit Suisse Investment Holdings (UK), London, United Kingdom (UK)  Triggering event: Falling below threshold  Threshold(s) crossed or reached: 5%  Date at which the threshold is crossed or reached: 12.05.2014  Total amount of voting rights: 3.88% (equals 17708057 voting rights) calculated from the following total number of voting rights issued: 456500000  Detailed information on the voting rights proportion:  Voting rights proportion based on financial/other instruments pursuant to Art. 25a, Sec. 1 WpHG: 1.53% (equals 6991573 voting rights)  thereof held indirectly: 1.53% (equals 6991573 voting rights)  Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG: 2.35% (equals 10716484 voting rights)  thereof held indirectly: 2.35% (equals 10716484 voting rights)  Voting rights pursuant to sec. 21, 22 WpHG: 0% (equals 0 voting rights)  Detailed information on financial/other instruments pursuant to Art. 25a, Sec. 1 WpHG:  Chain of controlled undertakings: Credit Suisse Securities (Europe) Limited  ISIN or name/description of the  (financial/other) instrument, Expiration date  Long Call Option, Cash Settlement, 19.12.2014 Short Put Option, Physical Settlement, 16.05.2014 Short Put Option, Physical Settlement, 20.06.2014 Short Put Option, Physical Settlement, 18.07.2014 Short Put Option, Physical Settlement, 19.09.2014 Short Put Option, Physical Settlement, 19.12.2014 Short Put Option, Physical Settlement, 20.03.2015 Short Put Option, Physical Settlement, 19.06.2015 Short Put Option, Physical Settlement, 18.12.2015 Equity Swap, cash settlement, 04.06.2014 Equity Swap, cash settlement, 05.08.2014 Equity Swap, cash settlement, 21.10.2014 Equity Swap, cash settlement, 31.10.2014 Equity Swap, cash settlement, 03.11.2014 Equity Swap, cash settlement, 06.11.2014 Equity Swap, cash settlement, 07.11.2014 Equity Swap, cash settlement, 20.11.2014 Equity Swap, cash settlement, 29.12.2014 Equity Swap, cash settlement, 08.01.2015 Equity Swap, cash settlement, 27.01.2015 Equity Swap, cash settlement, 02.02.2015 Equity Swap, cash settlement, 13.05.2015 Equity Swap, cash settlement, 07.09.2015 Equity Swap, cash settlement, 15.12.2015 Equity Swap, cash settlement, 28.04.2017    -----------------------------  5. Notification of voting rights pursuant to Art. 25a, Sec. 1 WpHG On May 15, 2014 we received the following notification pursuant to Art. 25a, Sec. 1 WpHG:  Listed company: Allianz SE Königinstr. 28, 80802 Munich, Germany  Notifier: Credit Suisse Securities (Europe) Limited, London, United Kingdom (UK)  Triggering event: Falling below threshold  Threshold(s) crossed or reached: 5%  Date at which the threshold is crossed or reached: 12.05.2014  Total amount of voting rights: 3.88% (equals 17708057 voting rights) calculated from the following total number of voting rights issued: 456500000  Detailed information on the voting rights proportion:  Voting rights proportion based on financial/other instruments pursuant to Art. 25a, Sec. 1 WpHG: 1.53% (equals 6991573 voting rights)  thereof held indirectly: 0% (equals 0 voting rights)  Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG: 2.35% (equals 10716484 voting rights)  thereof held indirectly: 0% (equals 0 voting rights)  Voting rights pursuant to sec. 21, 22 WpHG: 0% (equals 0 voting rights)  Detailed information on financial/other instruments pursuant to Art. 25a, Sec. 1 WpHG:  ISIN or name/description of the  (financial/other) instrument, Expiration date  Long Call Option, Cash Settlement, 19.12.2014 Short Put Option, Physical Settlement, 16.05.2014 Short Put Option, Physical Settlement, 20.06.2014 Short Put Option, Physical Settlement, 18.07.2014 Short Put Option, Physical Settlement, 19.09.2014 Short Put Option, Physical Settlement, 19.12.2014 Short Put Option, Physical Settlement, 20.03.2015 Short Put Option, Physical Settlement, 19.06.2015 Short Put Option, Physical Settlement, 18.12.2015 Equity Swap, cash settlement, 04.06.2014 Equity Swap, cash settlement, 05.08.2014 Equity Swap, cash settlement, 21.10.2014 Equity Swap, cash settlement, 31.10.2014 Equity Swap, cash settlement, 03.11.2014 Equity Swap, cash settlement, 06.11.2014 Equity Swap, cash settlement, 07.11.2014 Equity Swap, cash settlement, 20.11.2014 Equity Swap, cash settlement, 29.12.2014 Equity Swap, cash settlement, 08.01.2015 Equity Swap, cash settlement, 27.01.2015 Equity Swap, cash settlement, 02.02.2015 Equity Swap, cash settlement, 13.05.2015 Equity Swap, cash settlement, 07.09.2015 Equity Swap, cash settlement, 15.12.2015 Equity Swap, cash settlement, 28.04.2017    19.05.2014 DGAP's Distribution Services include Regulatory Announcements, Financial/Corporate News and Press Releases. Media archive at www.dgap-medientreff.de and www.dgap.de  ---------------------------------------------------------------------------   Language:     English Company:      Allianz SE               Königinstr. 28               80802 München               Germany Internet:     www.allianz.com   End of Announcement                             DGAP News-Service   ---------------------------------------------------------------------------  
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