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PRESS RELEASE FROM November 07, 2022
Bratislava Stock Exchange notifies:
Start of trading of bond issue on the BSSE's regulated free market:
Date of admission:November 3, 2022
Date of start of trading:November 8, 2022

Issue terms:
Name of issuer:Tatra banka, a.s.
Issuer's address:Hodzovo namestie 3, 811 06 Bratislava 1
Name of issue:Senior dlhopis TB Fix 28/10/2025
ISIN:SK4000021754
Type of security:bond (Abb. 2TAT067E)
Appearance:Book entry security
Form:Bearer security
Nominal value:EUR 1 000
Number of securities:50 000
Issuance date:October 28, 2022
Maturity date: October 28, 2025
Yield: Fixed 3.60 % p.a. (Act/Act AFB)
Frequency of payments: Annually, as of October 28 (first payment will be on October 28, 2023)
Site of payments: Tatra banka, a.s., Hodzovo namestie 3, 811 06 Bratislava 1
Repayment of principal: one-time payment, after expiration of bond's life, possibly to the date of premature repayment of bonds

Further details:
Issue price: 100.00 % of nominal value (other days in accordance with article 1 point 1.8 of Final conditions)

Primary sale:
public offer from September 26, 2022 till October 26, 2022 with right to prolong offer till May 5, 2023

Premature repayment*:
- in accordance with article 7 point 7.3. of Final conditions
* complete information is in the Final conditions of security

Ex-coupon:
Payment of the yield will be realised only to the bondholders who will be registered as owners of the bond pursuant to the evidence in the Central Securities Depository of the Slovak Republic or at the member of Central Securities Depository at the end of working hours on relevant ex-coupon date.
The ex-coupon date is the 15th calendar day before the relevant day of payment of the interest yield (excluded).

Ex-principal:
Payment of principal will be realised only to the bondholders who will be registered as owners of the bond pursuant to the evidence in the Central Securities Depository of the Slovak Republic or at the member of Central Securities Depository at the end of working hours on relevant ex-principal date.
The ex-principal date is the 15th calendar day before the maturity date (excluded) or before the premature repayment date.

Taxation method:
Bond's yield will be taxed pursuant to the valid legal regulations in time of payment.
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Tatra Banka a.s. published this content on 07 November 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 07 November 2022 15:13:01 UTC.