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 (Applicable as of 01.10.2022)

ISIN DE000 A1PGWY5
WKN A1PGWY
Issue/ issue price Nominal amount
Issue volume up to EUR 50.000.000,00
Type and denomination a total of 50.000 bearer bonds with  a nominal amount of EUR 1,00
Security type Bearer Bond
Nominal amount 1,00 EUR
Interest  From 01.10.2022 onwards, the respective partial debenture shall bear interest in the amount of its respective nominal amount at an annual rate of 3.75%
Interest Payment The interest is calculated annually and is due on 30.09. of each year.
Duration till 30.09.2037 (end of term)
Repayment by 02.11.2037 (at the latest)
Special right of termination One-time ordinary right of termination with an exercise period of two months from receipt of the notification of the bondholders about the execution of the amendment of the bond terms and conditions to the next following month-end (e.g. received on 10.03.2023 till 31.05.23)
Conversion Subject to the condition precedent that the special redemption right is not exercised, the bonds will be exchanged for bonds of the bond WKN: A1MA45 in the same number and with the same nominal value of EUR 1,00