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LIQUID FINANCIAL RESERVE OF THE APF GROUP: USD 680,877 (31.10.2024)

Bond issue

The issue has already been sold out.

 

The company APF DIGITAL AGRIFUND CR s.r.o. has prepared for clients an issue of bonds with a maturity of 36 months and an annual yield of 9.5%. The total value of the issue is CZK 24.5 million. The nominal value of the bond is CZK 50,000. The issue period for subscription of the bonds starts on 1 August 2022 and ends on 31 July 2023 with the possibility of extension.

 

If you are interested, please contact us at [email protected].

The administration of the bond subscription is provided by:

 

Ritter-Šťastný law firm
Riegrova 12
Olomouc
779 00

+420 585 229 221
[email protected]

Summary of bond description

Issuer:

APF DIGITAL AGRIFUND CR s.r.o.
ID: 142 65 681
LEI 3157006QWVOUR1ZFO543
with registered office at Pražákova 1008/69, Štýřice, 639 00 Brno
registered in the Commercial Register file. C 127449
registered at the Regional Court in Brno

The name of the bonds:

Bond APFCD 9,5/25

LEI:

33157006QWVOUR1ZFO543

ISIN:

CZ0003542326

Issuer's account number:

2302134097/2010

The nominal value of the bond:

50.000 CZK (fifty thousand Czech crowns)

Form of bonds:

Securities on the series

Type of bonds:

Certificated securities

Type of bonds:

100% of the nominal value of the Bonds on the Issue Date

Minimum investment:

1 (one) Bond

Date of issue:

1. 8. 2021

Issue period:

Issue deadline for subscription
Bonds starts on 1 August 2022
and will expire on 31 July 2023 with the possibility of extension

Additional issue period:

Can be applied

Estimated Volume of Issue:

CZK 24,500,000 (twenty-five million Czech crowns)

Maximum Volume Emission:

CZK 24,500,000 (twenty-five million Czech crowns)

Bond numbering:

001 to 490

Yield:

Fixed rate 9.5% per annum

Date of the beginning of the first yield period:

1. 8. 2021

Revenue period:

Quarterly

Date of entitlement to payment of proceeds:

as at 31.10, 31.1, 30.4 and 31.7 of each calendar year
until the maturity of the nominal value

The record date for payment of the proceeds:

As at the last day of the revenue period

The date of early redemption of the bond:

On the maturity date of the yield

Final due date:

31. 7. 2025

The record date for redemption of the face value:

31. 7. 2025

Issues:

Issue of fungible Bonds issued by
under these Terms and Conditions of Issue

Bonds:

Individual bonds issued under the Issue

Administrator:

Issuer

Designated establishment:

APF DIGITAL AGRIFUND CR s.r.o.
Riegrova 372/4, 779 00 Olomouc