Last update: 23.05.2026 20:34 (GMT+3)
| Number of listed securities | 100,000 |
| Nominal | 500 EUR |
| Issue value | 50,000,000 EUR |
| Listing date | 23.03.2026 |
| Maturity date | 20.03.2031 |
| Coupon rate (%) | 7 |
| Next coupon payment date | 31.07.2026 |
Information to investors:
Please note that the Next coupon payment date field reflects the interest period end date in the trading system, which differs from the actual interest payment date. The actual interest payment will be made as per the bond’s Terms & Conditions.