CARPEVIGO Energy Bond I
CARPEVIGO Holding AG
- The bond’s current terms, conditions, and resolutions can be accessed under the heading Creditors’ Meetings.
Overview of the key data
ISIN | DE000 A1PGWY5 |
WKN | A1PGWY |
Issue/ issue price | 100%; Nominal amount plus interest accrued and the usual bank charges. |
Issue volume | 50 Mio EUR |
Type and denomination | a total of 50.000 bearer bonds with equal rights and a nominal amount of EUR 1.000,00 |
Security type | Bearer Bond |
Minimum investment | 1.000 EUR |
Nominal amount | 1.000 EUR |
Interest | Interest continues to be 1.5% p.a. and is due annually on 30.09. of each year. A new interest rate of 1.5% p.a. is set for the year 2021. The new interest rate is due for payment on 30.09.2021. For the year 2022, a new interest rate of 1.5% p.a. is fixed. The new interest rate is due for payment on 30.09.2022. For the year 2023, a new interest rate of 1.5% p.a. is fixed. The new interest rate is due for payment on 30.09.2023. For the year 2024, a new interest rate of 1.5% p.a. is fixed. The new interest rate is due for payment on 30.09.2024. For the year 2025, a new interest rate of 1.5% p.a. is fixed. The new interest rate is due for payment on 30.09.2025. For the year 2026, a new interest rate of 1.5% p.a. is fixed. The new interest rate is due for payment on 30 June 2026. At the end of the term, the bond is repaid at the nominal amount plus a premium of 5% on the nominal amount. |
Interest Payment | The interest is calculated annually and is due on 30.09. of each year and on 30.06.2026 respectively. |
Duration | till 30.06.2026 (end of term) |