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01.10.2009

DGAP-DD: systaic AG english

Notification concerning transactions by persons performing managerial responsibilities pursuant to section 15a of the WpHG Directors' Dealings notification transmitted by DGAP - a company of EquityStory AG. The person with duty of notification is solely responsible for the content of this announcement. =----------------------------------------------------------------------------- Details of the person subject to the disclosure requirement Last name: Pack First name: Michael Company: systaic AG Position: Member of a managing body Information about the transaction with duty of notification Description of the financial instrument: Convertible Bonds ISIN/WKN of the financial instrument: DE000A1A56W4 Type of transaction: Purchase Date: 15.09.2009 Price: 125.00 Currency: EUR No. of items: 1926 Total amount traded: 240750.00 Place: over the counter Explanation for publication: 1,926 convertible bonds with a denomination of 100.00 each. The transactions concerns the Convertible Bonds 2009/2013 that have been issued by the company on 23 August 2009. The conversion price for a bond is 5.31 EUR per share; together with the stipulated surcharge the conversion price is 6.58 per share. Information about the company with duty of publication Issuer: systaic AG Kasernenstr. 27 40213 Düsseldorf Deutschland ISIN: DE000A0JKYP6 WKN: A0JKYP End of Directors' Dealings Notification (c) DGAP 01.10.2009 Financial News transmitted by DGAP ID 10103

Notification concerning transactions by persons performing managerial responsibilities pursuant to section 15a of the WpHG Directors' Dealings notification transmitted by DGAP - a company of EquityStory AG. The person with duty of notification is solely responsible for the content of this announcement. =----------------------------------------------------------------------------- Details of the person subject to the disclosure requirement Last name: Pack First name: Michael Company: systaic AG Position: Member of a managing body Information about the transaction with duty of notification Description of the financial instrument: Convertible Bonds ISIN/WKN of the financial instrument: DE000A1A56W4 Type of transaction: Purchase Date: 15.09.2009 Price: 125.00 Currency: EUR No. of items: 1926 Total amount traded: 240750.00 Place: over the counter Explanation for publication: 1,926 convertible bonds with a denomination of 100.00 each. The transactions concerns the Convertible Bonds 2009/2013 that have been issued by the company on 23 August 2009. The conversion price for a bond is 5.31 EUR per share; together with the stipulated surcharge the conversion price is 6.58 per share. Information about the company with duty of publication Issuer: systaic AG Kasernenstr. 27 40213 Düsseldorf Deutschland ISIN: DE000A0JKYP6 WKN: A0JKYP End of Directors' Dealings Notification (c) DGAP 01.10.2009 Financial News transmitted by DGAP ID 10103

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