Credit Suisse Group AG, Zurich, Switzerland, has notified us pursuant to Section 25a (1) WpHG (I.) on behalf of itself and (II.) on behalf of and with the power of attorney for Credit Suisse AG according to § 24 WpHG the following on 8 September 2015: 

I. (Notification of Credit Suisse Group AG)

1. Listed company:
Deutsche Lufthansa AG, Von-Gablenz-Str. 2-6, 50679 Cologne, Germany 

2. Notifier:
Credit Suisse Group AG, Zurich, Switzerland 

3. Triggering event:
Exceeding threshold due to acquisition/disposal 

4. Threshold(s) crossed or reached:
5% 

5. Date at which the threshold is crossed or reached:
02.09.2015 

6. Total amount of voting rights:
5.02% (equals 23,221,193 voting rights)
calculated from the following total number of voting rights issued:
462,772,266 

7. Detailed information on the voting rights proportion:
- Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
1.75% (equals 8,090,908 voting rights) thereof held indirectly: 1.75% (equals 8,090,908 voting rights)
- Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
3.11% (equals 14,374,412 voting rights) thereof held indirectly: 3.11% (equals 14,374,412 voting rights)
- Voting rights pursuant to sec. 21, 22 WpHG:
0.16% (equals 755,873 voting rights) 

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:
- Chain of controlled undertakings:
Credit Suisse AG, Credit Suisse Investments (UK), Credit Suisse Investment Holdings (UK), Credit Suisse Securities (Europe) Limited
Credit Suisse AG Guernsey Branch, Credit Suisse International
- Details on financial/other instruments:

Equity Swap, cash settlementMaturity date: 22.09.2015
Equity Swap, cash settlementMaturity date: 18.07.2016
Equity Swap, cash settlementMaturity date: 08.10.2015
Equity Swap, cash settlementMaturity date: 03.11.2015
Equity Swap, cash settlementMaturity date: 08.01.2016
Equity Swap, cash settlementMaturity date: 13.11.2015
Equity Swap, cash settlementMaturity date: 03.12.2015
Equity Swap, cash settlementMaturity date: 03.05.2018
Equity Swap, cash settlementMaturity date: 13.06.2016
Equity Swap, cash settlementMaturity date: 03.10.2016
Equity Swap, cash settlementMaturity date: 07.11.2016
Equity Swap, cash settlementMaturity date: 03.06.2016
Equity Swap, cash settlementMaturity date: 03.01.2017
Equity Swap, cash settlementMaturity date: 02.02.2017
Equity Swap, cash settlementMaturity date: 19.12.2016
Equity Swap, cash settlementMaturity date: 15.12.2016
Equity Swap, cash settlementMaturity date: 14.09.2015
Equity Swap, cash settlementMaturity date: 28.02.2017
Equity Swap, cash settlementMaturity date: 03.03.2017
Short Put Option, Physical SettlementMaturity date: 11.12.2015
Short Put Option, Physical SettlementMaturity date: 10.06.2016
Short Put Option, Physical SettlementMaturity date: 11.03.2016
Short Put Option, Physical SettlementMaturity date: 17.06.2016
Short Put Option, Physical SettlementMaturity date: 09.12.2016
Short Put Option, Physical SettlementMaturity date: 09.10.2015
Short Put Option, Physical SettlementMaturity date: 11.09.2015
Short Put Option, Physical SettlementMaturity date: 13.11.2015
Short Put Option, Physical SettlementMaturity date: 18.09.2015

 

II. (Notification of Credit Suisse AG)

1. Listed company:
Deutsche Lufthansa AG, Von-Gablenz-Str. 2-6, 50679 Cologne, Germany 

2. Notifier:
Credit Suisse AG, Zurich, Switzerland 

3. Triggering event:
Exceeding threshold due to acquisition/disposal 

4. Threshold(s) crossed or reached:
5% 

5. Date at which the threshold is crossed or reached:
02.09.2015 

6. Total amount of voting rights:
5.02% (equals 23,221,193 voting rights)
calculated from the following total number of voting rights issued:
462,772,266 

7. Detailed information on the voting rights proportion:
- Voting rights proportion based on financial/other instruments pursuant to sec. 25a WpHG:
1.75% (equals 8,090,908 voting rights) thereof held indirectly: 1.57% (equals 7,273,208 voting rights)
- Voting rights proportion based on financial/other instruments pursuant to sec. 25 WpHG:
3.11% (equals 14,374,412 voting rights) thereof held indirectly: 2.78% (equals 12,862,575 voting rights)
- Voting rights pursuant to sec. 21, 22 WpHG:
0.16% (equals 755,873 voting rights) 

8. Detailed information on financial/other instruments pursuant to sec. 25a WpHG:
- Chain of controlled undertakings:
Credit Suisse Investments (UK), Credit Suisse Investment Holdings (UK), Credit Suisse Securities (Europe) Limited
Credit Suisse AG Guernsey Branch, Credit Suisse International
- Details on financial/other instruments:

Equity Swap, cash settlementMaturity date: 22.09.2015
Equity Swap, cash settlementMaturity date: 18.07.2016
Equity Swap, cash settlementMaturity date: 08.10.2015
Equity Swap, cash settlementMaturity date: 03.11.2015
Equity Swap, cash settlementMaturity date: 08.01.2016
Equity Swap, cash settlementMaturity date: 13.11.2015
Equity Swap, cash settlementMaturity date: 03.12.2015
Equity Swap, cash settlementMaturity date: 03.05.2018
Equity Swap, cash settlementMaturity date: 13.06.2016
Equity Swap, cash settlementMaturity date: 03.10.2016
Equity Swap, cash settlementMaturity date: 07.11.2016
Equity Swap, cash settlementMaturity date: 03.06.2016
Equity Swap, cash settlementMaturity date: 03.01.2017
Equity Swap, cash settlementMaturity date: 02.02.2017
Equity Swap, cash settlementMaturity date: 19.12.2016
Equity Swap, cash settlementMaturity date: 15.12.2016
Equity Swap, cash settlementMaturity date: 14.09.2015
Equity Swap, cash settlementMaturity date: 28.02.2017
Equity Swap, cash settlementMaturity date: 03.03.2017
Short Put Option, Physical SettlementMaturity date: 11.12.2015
Short Put Option, Physical SettlementMaturity date: 10.06.2016
Short Put Option, Physical SettlementMaturity date: 11.03.2016
Short Put Option, Physical SettlementMaturity date: 17.06.2016
Short Put Option, Physical SettlementMaturity date: 09.12.2016
Short Put Option, Physical SettlementMaturity date: 09.10.2015
Short Put Option, Physical SettlementMaturity date: 11.09.2015
Short Put Option, Physical SettlementMaturity date: 13.11.2015
Short Put Option, Physical SettlementMaturity date: 18.09.2015