P15 Series Bonds Allocation CR 51/2019

The Management Board of Aforti Holding SA based in Warsaw (“the Company”, “the Issuer”) hereby informs that on June 28, 2019 The Management Board passed a resolution of P15 series bonds allocation („the Bonds”). Subscription of the Bonds was conducted in accordance to a resolution of The Management Board on June 10, 2019 of P15 series bonds issue.
In accordance to the resolution of P15 series bonds allocation, The Board allocated 1929 (one thousand nine hundred twenty nine) P15 series bonds of 1.000,00 (one thousand) PLN both nominal and emissional value each and PLN 1.929.000 (one million nine hundred and twenty nine thousand) in total.

P15 series bonds are two-years unsecured bonds. Bondholders will be paid a monthly coupon at a constant percentage amount of 8,20% per annum. The P15 series bonds purchase date is June 28,2021. The issued Bonds are denominated in Polish zloty (PLN) and were offered in private issue mode, only on Polish territory.

Legal basis: Article 3, Paragraph 1, Point 8) of the Exhibit 3 “Current and Periodical Information in the Alternative Trading System on the NewConnect market” to the Alternative Trading System Rules

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