Financial instrument: PROXENTA group bond
Issuer: A PROXENTA group company
Nominal bond value: 1 000 EUR
Bond type: book-entry securities
Emission value: 10 000 000 Eur
Bond form: bearer shares

Dátum splatnosti menovitej hodnoty dlhopisov: 11 Feb 2019
Splatnosť výnosov: annually, always 11.2.
Return rate: 7,5% p.a.
Investment appreciation: The financial resources from both assets shall be appreciated in the projects of the PROXENTA financial group.
Related fees: as stated in the price list of the stock trader.

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Keďže produkty PROXENTY nie sú predmetom verejnej ponuky, registrovaným užívateľom poskytujeme informácie v produktovej zóne. Je to neverejná časť našich internetových stránok, v ktorej nájdete informácie o všetkých našich produktoch.

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Notice: This document is only of informative value and does not qualify as an investment recommendation. Investment in financial instruments is also connected with risk. The past and present returns do not guarantee future returns. When investing in the financial instruments issued by PROXENTA group, there is a risk of concentration. This risk lies in the fact that the Company recommends its clients to buy primarily the financial instruments issued within PROXENTA group. The client should thus consider the investment in these financial instruments to be an addition to a broader portfolio, which, as a part of diversification, further includes the financial instruments of other issuers.