Pēd. atjaunots: 22.07.2024 15:07 (GMT+3)

Hüvitusfond: Interest rates for V-series bonds, redemption of bonds

03.09.2001, Hüvitusfond, TLN
HÜVITUSFOND
ANNOUNCEMENT

INTEREST RATES FOR V-SERIES BONDS, REDEMPTION OF BONDS

Hüvitusfond will redeem the issues of III- and XV-series bonds
on 26.09.2001. On the date of redemption the bondholders will
receive interest payments in addition to redemption payment.

Interest payments will be made to investors holding the respective
bonds as of the end-day of 24.09.2001, according to the data of
the securities register of the Estonian Central Depository
for Securities. Redemption payments will be made to investors
holding the respective bonds as of 26.09.200 at 8:00 a.m.,
according to the data of the securities register of the Estonian
Central Depository for Securities.

Base interest paid to the holders of Hüvitusfond V-series bonds
is 7%. According to the decisions made by Hüvitusfond Supervisory
Board, no additional interest will be paid for H1 2001. Volume of
V-series bond issue is EEK 40 million.

Interest payments from Hüvitusfond bonds to private persons are
exempt from income tax.

Hüvitusfond will make interest payments to the holders of V-series
bonds in total amount of 2.8 million EEK, and redemption payments
in total amount of EEK 40 million.

V-series bond issue took place from 26.09.1995 to 23.10.1995.
Altogether 3,616 private investors participated in the issue.


Jaanus Kosemaa
PR manager
+372 66 51 800

Vērtspapīri

Akcijas
Obligācijas
Ieguldījumu Fondi

Tirgus informācija

Statistika
Tirdzniecība
Indeksi
Izsoles

Noteikumi

Biržas noteikumi
Uzraudzība

Nāc uz Biržu

Uzņēmumiem
Investoriem
Biržas biedriem
First North konsultantiem

Aktualitātes

Nasdaq ziņas
Emitentu ziņas
Kalendārs

Par mums

Nasdaq Baltijas tirgus
Biroji