Voting Rights Announcements | 25 June 2014 12:13


RHÖN-KLINIKUM AG: Release according to Article 26, Section 1 of the WpHG [the German Securities Trading Act] with the objective of Europe-wide distribution

RHÖN-KLINIKUM AG 

25.06.2014 12:13

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.
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Notification according to section 26 para. 1 WpHG 

Credit Suisse Investments (UK), London, Great Britain, die Credit Suisse
Investment Holdings (UK), London, Great Britain, and Credit Suisse
Securities (Europe) Limited, London, Great Britain, notified us on 23 June
2014 pursuant to section 25a para. 1 WpHG of the following:

1) On 18 June 2014, Credit Suisse Investments (UK) fell below the threshold
of 5% of the voting rights of RHÖN-KLINIKUM AG, Schlossplatz 1, 97616 Bad
Neustadt a. d. Saale, Germany. On that date, Credit Suisse Investments (UK)
held 3.05% of the voting rights in RHÖN-KLINIKUM AG (equals 4,213,076
voting rights).

From these voting rights a proportion of 0% (equals 0 voting rights) is
based on voting rights pursuant to sections 21, 22 WpHG.

In addition, a proportion of 2.83% (equals 3,911,934 voting rights) is
based on (financial/other) instruments pursuant to section 25 WpHG. From
the voting rights based on instruments pursuant to section 25 WpHG a
proportion of 2.83% (equals 3,911,934 voting rights) is held indirectly.

In addition, a proportion of 0.22% (equals 301,142 voting rights) is based
on (financial/other) instruments pursuant to section 25a WpHG. From the
voting rights based on instruments pursuant to section 25a WpHG a
proportion of 0.22% (equals 301,142 voting rights) is held indirectly.
Chain of controlled undertakings: Credit Suisse Investments Holdings (UK),
Credit Suisse Securities (Europe) Limited.

The (financial/other) instruments pursuant to section 25a WpHG are
described as follows:

  - Equity Swap, cash settlement (expiration date 4 November 2014)

  - Equity Swap, cash settlement (expiration date 8 January 2015)

  - Equity Swap, cash settlement (expiration date 12 January 2015)

  - Equity Swap, cash settlement (expiration date 27 January 2015)

  - Equity Swap, cash settlement (expiration date 13 May 2015)

  - Equity Swap, cash settlement (expiration date 14 May 2015)

  - Equity Swap, cash settlement (expiration date 18 June 2015)

  - Equity Swap, cash settlement (expiration date 3 July 2015)

  - Equity Swap, cash settlement (expiration date 15 December 2015)

  - Equity Swap, cash settlement (expiration date 2 October 2017)

 

2) On 18 June 2014, Credit Suisse Investment Holdings (UK) fell below the
threshold of 5% of the voting rights of RHÖN-KLINIKUM AG, Schlossplatz 1,
97616 Bad Neustadt a. d. Saale, Germany. On that date Credit Suisse
Investment Holdings (UK) held 3.05% of the voting rights in RHÖN-KLINIKUM
AG (equals 4,213,076 voting rights).

From these voting rights a proportion of 0% (equals 0 voting rights) is
based on voting rights pursuant to sections 21, 22 WpHG.

In addition, a proportion of 2.83% (equals 3,911,934 voting rights) is
based on (financial/other) instruments pursuant to section 25 WpHG. From
the voting rights based on instruments pursuant to section 25 WpHG a
proportion of 2.83% (equals 3,911,934 voting rights) is held indirectly.

In addition, a proportion of 0.22% (equals 301,142 voting rights) is based
on (financial/other) instruments pursuant to section 25a WpHG. From the
voting rights based on instruments pursuant to section 25a WpHG a
proportion of 0.22% (equals 301,142 voting rights) is held indirectly.
Chain of controlled undertakings: Credit Suisse Securities (Europe)
Limited.

The (financial/other) instruments pursuant to section 25a WpHG are
described as follows:

  - Equity Swap, cash settlement (expiration date 4 November 2014)

  - Equity Swap, cash settlement (expiration date 8 January 2015)

  - Equity Swap, cash settlement (expiration date 12 January 2015)

  - Equity Swap, cash settlement (expiration date 27 January 2015)

  - Equity Swap, cash settlement (expiration date 13 May 2015)

  - Equity Swap, cash settlement (expiration date 14 May 2015)

  - Equity Swap, cash settlement (expiration date 18 June 2015)

  - Equity Swap, cash settlement (expiration date 3 July 2015)

  - Equity Swap, cash settlement (expiration date 15 December 2015)

  - Equity Swap, cash settlement (expiration date 2 October 2017)

3) On 18 June 2014, Credit Suisse Securities (Europe) Limited fell below
the threshold of 5% of the voting rights of RHÖN-KLINIKUM AG, Schlossplatz
1, 97616 Bad Neustadt a. d. Saale, Germany. On that date Credit Suisse
(Europe) Limited held 3.51% of the voting rights in RHÖN-KLINIKUM AG
(equals 4,874,008 voting rights).

From these voting rights a proportion of 0% (equals 0 voting rights) is
based on voting rights pursuant to sections 21, 22 WpHG.

In addition, a proportion of 2.83% (equals 3,911,934 voting rights) is
based on (financial/other) instruments pursuant to section 25 WpHG. From
the voting rights based on instruments pursuant to section 25 WpHG a
proportion of 0% (equals 0 voting rights) is held indirectly.

In addition, a proportion of 0.22% (equals 301,142 voting rights) is based
on (financial/other) instruments pursuant to section 25a WpHG. From the
voting rights based on instruments pursuant to section 25a WpHG a
proportion of 0% (equals 0 voting rights) is held indirectly.

The (financial/other) instruments pursuant to section 25a WpHG are
described as follows:

  - Equity Swap, cash settlement (date of expiry 4 November 2014)

  - Equity Swap, cash settlement (expiration date 8 January 2015)

  - Equity Swap, cash settlement (expiration date 12 January 2015)

  - Equity Swap, cash settlement (expiration date 27 January 2015)

  - Equity Swap, cash settlement (expiration date 13 May 2015)

  - Equity Swap, cash settlement (expiration date 14 May 2015)

  - Equity Swap, cash settlement (expiration date 18 June 2015)

  - Equity Swap, cash settlement (expiration date 3 July 2015)

  - Equity Swap, cash settlement (expiration date 15 December 2015)

  - Equity Swap, cash settlement (expiration date 2 October 2017)

Bad Neustadt a.d. Saale, 25 June 2014

The Board of Management

___________________________________________________________________________

Dr. Kai G. Klinger
Head of Investor Relations
RHÖN-KLINIKUM AG
Schlossplatz 1
97616 Bad Neustadt a. d. Saale
Phone: +49 9771 65 - 1318
Fax: +49 9771 99 - 1736



25.06.2014 DGAP's Distribution Services include Regulatory Announcements,
Financial/Corporate News and Press Releases.
Media archive at www.dgap-medientreff.de and www.dgap.de

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Language:     English
Company:      RHÖN-KLINIKUM AG
              Schlossplatz 1
              97616 Bad Neustadt a.d.Saale
              Germany
Internet:     www.rhoen-klinikum-ag.com
 
End of Announcement                             DGAP News-Service
 
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