Filed pursuant to Rule 433
Registration No. 333-238461
July 20, 2021
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Final Term Sheet
EUR 1,000,000,000 0.750% Global Bonds due 2028
To be fungible and form a single series with KfW’s
EUR 5,000,000,000 0.750% Global Bonds due 2028, of which
EUR 4,000,000,000 were issued on September 27, 2018 and
EUR 1,000,000,000 were issued on February 26, 2019
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Terms: | | |
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Issuer: | | KfW |
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Guarantor: | | Federal Republic of Germany |
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Aggregate Principal Amount: | | EUR 1,000,000,000 |
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Denomination: | | EUR 1,000 |
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Maturity: | | June 28, 2028 |
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Redemption Amount: | | 100% |
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Interest Rate: | | 0.750% per annum, payable annually in arrears |
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Date of Pricing: | | July 20, 2021 |
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Closing Date: | | July 27, 2021 |
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Interest Payment Dates: | | June 28 in each year |
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First Interest Payment Date: | | June 28, 2022 (for interest accrued from, and including, June 28, 2021 to, but excluding, June 28, 2022) |
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Accrued Interest: | | In the aggregate amount of EUR 595,890.41 from, and including, June 28, 2021 to, but excluding, July 27, 2021 (for aggregate principal amount of EUR 1,000,000,000) |
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Currency of Payments: | | EUR |
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Price to Public/Issue Price: | | 107.661%, plus Accrued Interest |
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Underwriting Commissions: | | None |
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Proceeds to Issuer: | | 107.661%, plus Accrued Interest |
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Format: | | SEC-registered global bonds |
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Listing: | | Frankfurt Stock Exchange (regulated market) |
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Business Day: | | Frankfurt |
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Business Day Convention: | | Following, unadjusted |
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Day Count Fraction: | | Actual/Actual ICMA |
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Governing Law/Jurisdiction: | | German Law; District Court Frankfurt am Main |
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Gross-Up: | | No gross-up if tax deduction or withholding is imposed |
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Cross-Default: | | None |
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Clearing System: | | CBF (CBL, Euroclear) |
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Selling Restrictions: | | European Economic Area, UK, Japan, Canada, Hong Kong |