P.A. NOVA SA (8/2018) Acceptance of bonds to the KDPW deposit

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. 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%. 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. Series A bonds will be introduced into the Alternative Trading System (Catalyst) run by the Warsaw Stock Exchange S.A. ("ASO GPW") and BondSpot S.A. ("ASO BondSpot") after appropriate resolutions have been adopted by the Management Boards of the Warsaw Stock Exchange ASC and BondSpot ASO. Legal basis: Art. 17 sec. 1 MAR - confidential information

Source: company website, investor relations, current and periodic reports.

Company information
Company name:P.A. Nova SA
Adress: ul. Górnych Wałów 42 44-100 Gliwice
Phone:+48 32 4004100

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