ISIN | PLBNFTS00141 |
Series | C |
Number of bonds | 1,000,000 |
Nominal value of security | PLN 1,000 |
Nominal value of the Issue | PLN 1,000,000.000 |
Interest rate | Variable, Wibor 6M + 190bps |
Date of issue | 11 March 2025 |
Date of redemption | 11 March 2030 |
Trading venue | GPW Catalyst |