Last update: 26.04.2025 18:20 (GMT+3)
Number of listed securities | 110,000 |
Nominal | 100 EUR |
Issue value | 11,000,000 EUR |
Listing date | 06.04.2020 |
Maturity date | 30.04.2025 |
Coupon rate (%) | 6.25 |
Next coupon payment date | 30.04.2025 |
Information to investors regarding interest calculation:
Please note that any interest accrued on the Note but unpaid before 31 March 2025 shall be postponed and shall be payable on the Maturity Date.
As from 31 March 2025 each Note shall bear interest on its outstanding Nominal Value at the rate of 0% (zero per cent.) per annum.
More detailed information is available here:
https://view.news.eu.nasdaq.com/view?id=bff4fb1e64b2e1f0020d9a6ae31940e0b&lang=en&src=listed