Board P.A. NOVA S.A. with its registered office in Gliwice (the "Company"), with reference to Current Report No. 6/2018 of 4 April 2018 regarding the issue of series A bearer bonds ("Bonds"), informs that the Company took over on April 24, 2018 information from the National Depository of Securities SA on acceptance of 200,000 Series A bonds with a nominal value of PLN 100.00 each. A series bonds were registered in the KDPW system under the code PLPANVA00047. br> As part of the offering, subscriptions for 340,911 Bonds were made for a total of PLN 34,091,100. Investors were allocated a total of 200,000 bonds for the amount of PLN 20,000,000 after proportional reduction of subscriptions. The allocation rate was 58.67%. Br> The bonds will bear interest at an interest rate equal to the WIBOR 3M rate for 3-month deposits plus a margin of 3.8% per annum. Interest on the Bonds will be payable in three-month periods, and the Bonds will be redeemed on April 23, 2020. br> Series A bonds will be introduced into the Alternative Trading System (Catalyst) br> run by the Warsaw Stock Exchange S.A. ("ASO GPW") and br> BondSpot S.A. ("ASO BondSpot") after appropriate resolutions have been adopted by the Management Boards of the Warsaw Stock Exchange ASC and BondSpot ASO. Br> Legal basis: br> Art. 17 sec. 1 MAR - confidential information br>
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