Standard Contracts
Dated KfW - and - - and - - and - the other MANAGERS named herein FORM OF SUBSCRIPTION AGREEMENT [INSERT DESIGNATED CURRENCY] _______ % Global Notes due _________ HENGELER MUELLER Frankfurt am MainSubscription Agreement • May 18th, 2020 • KfW • Foreign governments
Contract Type FiledMay 18th, 2020 Company IndustryThis Agreement and the Supplemental Agency Agreement (which includes the Amended and Restated Agency Agreement dated __________) are together referred to herein as the “Agreements”.
KfW Medium-Term Notes Due Twelve Months or More from Date of Issue DISTRIBUTION AGREEMENTDistribution Agreement • December 19th, 2008 • KfW • Foreign governments
Contract Type FiledDecember 19th, 2008 Company IndustryMerrill Lynch, Pierce, Fenner & Smith Incorporated 4 World Financial Center North Tower — 23rd Floor New York, New York 10080 United States of America
Dated ___________ KfW - and - - and - - and - the other MANAGERS named herein FORM OF SUBSCRIPTION AGREEMENT EUR ___________ ___________ % Global Bonds due ___________ HENGELER MUELLER Frankfurt am MainSubscription Agreement • May 18th, 2020 • KfW • Foreign governments
Contract Type FiledMay 18th, 2020 Company IndustryThis Agreement and the Agent Appointment Agreement (which includes the Agency Rules dated __________) are together referred to herein as the “Agreements”.]
Dated ___________ KfW - and - - and - - and - the other MANAGERS named herein FORM OF SUBSCRIPTION AGREEMENT [U.S.$] [CAD] _____________ _______ % Global Notes due _________ HENGELER MUELLER Frankfurt am MainSubscription Agreement • May 18th, 2020 • KfW • Foreign governments
Contract Type FiledMay 18th, 2020 Company IndustryThis Agreement and the Supplemental Agency Agreement (which includes the Amended and Restated Agency Agreement dated __________) are together referred to herein as the “Agreements”.
Dated December 16, 2004 KfW as Issuer and DEUTSCHE BANK AKTIENGESELLSCHAFT as registrar and paying agent in respect of the Issuer’s global bonds denominated in Euro and DEUTSCHE BANK TRUST COMPANY AMERICAS as registrar and paying agent in respect of...Agency Agreement • December 17th, 2004 • KfW • Foreign governments
Contract Type FiledDecember 17th, 2004 Company Industry
Dated KfW - and -Subscription Agreement • April 16th, 2018 • KfW • Foreign governments
Contract Type FiledApril 16th, 2018 Company Industry
Form of Fiscal Agency Agreement Dated January [l], 2006 KfW as Issuer and DEUTSCHE BANK TRUST COMPANY AMERICAS as Fiscal Agent and Registrar and DEUTSCHE BANK AKTIENGESELLSCHAFT as Exchange Rate Agent in respect of the Issuer’s Medium-Term Notes Due...Fiscal Agency Agreement • December 22nd, 2005 • KfW • Foreign governments
Contract Type FiledDecember 22nd, 2005 Company Industry
FORM OF SUBSCRIPTION AGREEMENT • % Global Notes due •Subscription Agreement • December 17th, 2004 • KfW • Foreign governments
Contract Type FiledDecember 17th, 2004 Company Industry
Dated KfW - and - - and - - and - the other MANAGERS named herein FORM OF SUBSCRIPTION AGREEMENT [INSERT DESIGNATED CURRENCY] % Global Notes due HENGELER MUELLER Frankfurt am MainSubscription Agreement • December 19th, 2008 • KfW • Foreign governments
Contract Type FiledDecember 19th, 2008 Company Industry
Dated KfW - and - - and - - and - the other MANAGERS named herein FORM OF SUBSCRIPTION AGREEMENT [U.S.$] [CAD] % Global Notes due HENGELER MUELLER Frankfurt am MainSubscription Agreement • December 19th, 2008 • KfW • Foreign governments
Contract Type FiledDecember 19th, 2008 Company IndustryThis Agreement and the Supplemental Agency Agreement (which includes the Amended and Restated Agency Agreement dated ) are together referred to herein as the “Agreements”.
Convenience Translation from German into EnglishShareholders’ Agreement • August 24th, 2020 • KfW • Foreign governments
Contract Type FiledAugust 24th, 2020 Company IndustryA DH undertook in Section 8 (“Investment commitment DH”) of the Shareholders’ Agreement in relation to the Parties’ share portfolios in CureVac N.V. (NL-Amsterdam) dated 16 June 2020 (“Shareholders’ Agreement”) entered into by the Parties (with the exception of DH-LT Investments GmbH) to invest an amount of EUR 100 million in CureVac N.V. on the occasion of the IPO in order to acquire shares at economic terms and conditions and in particular at a share price corresponding to the issue price of a share in the course of the IPO (“concurrent private placement”) (“Investment Amount”).
Non-binding convenience translation from German into English2nd Supplement to the Shareholders’ Agreement • January 13th, 2022 • KfW • Foreign governments
Contract Type FiledJanuary 13th, 2022 Company IndustryA On 16 June 2020, the Parties (except for DH-LT) entered into a shareholders’ agreement in relation to the Parties’ share portfolios in CureVac N.V. (NL-Amsterdam). DH-LT acceded to such shareholders’ agreement under a supplement to the shareholders’ agreement dated 14 August 2020 (“1st Supplement”) (the shareholders’ agreement as amended by the 1st Supplement is referred to as the “Shareholders’ Agreement”).
Dated December 22, 2010 KfW as Issuer and DEUTSCHE BANK AKTIENGESELLSCHAFT as registrar and paying agent in respect of the Issuer’s global bonds denominated in Euro and global notes in currencies other than U.S. dollars, Euro or and Canadian dollars...Agency Agreement • December 30th, 2010 • KfW • Foreign governments
Contract Type FiledDecember 30th, 2010 Company Industryist in ___________ untereinander gleichberechtigte Teilschuldverschreibungen in einer Stückelung von je EUR 1.000 (die “Schuldverschreibungen”) eingeteilt.
Dated [•], 2008 KfW as Issuer and DEUTSCHE BANK AKTIENGESELLSCHAFT as registrar and paying agent in respect of the Issuer’s global bonds denominated in Euro and global notes in currencies other than U.S. dollars, Euro or and Canadian dollars and...Agency Agreement • December 19th, 2008 • KfW • Foreign governments
Contract Type FiledDecember 19th, 2008 Company Industry
Dated January [l], 2009 KfW as Issuer and DEUTSCHE BANK TRUST COMPANY AMERICAS as Fiscal Agent and Registrar and DEUTSCHE BANK AKTIENGESELLSCHAFT as Exchange Rate Agent in respect of the Issuer’s Medium-Term Notes Due Twelve Months or More from Date...Fiscal Agency Agreement • December 19th, 2008 • KfW • Foreign governments
Contract Type FiledDecember 19th, 2008 Company Industry
Dated May 16, 2011 KfW as Issuer and The Bank of New York Mellon as paying agent in respect of the Issuer’s global bonds denominated in Euro, global notes denominated in U.S. dollars, Canadian dollars and in other currencies and The Bank of New York...Agency Agreement • May 17th, 2011 • KfW • Foreign governments
Contract Type FiledMay 17th, 2011 Company Industry