INVESTMENT TOOLS

FVE SYSTEMS 8/2029

Open

  • Yield: 7,77 % p.a.

  • ISIN: CZ0003575136

  • Nominal Value : 2 000 EUR (two thousand euros)

  • Bond Issue Volume: 998 000 EUR

  • Maturity Date: 1.8.2029

FVE SYSTEMS 7/2028

SOLD OUT

  • Yield: 8 % p.a.
  • ISIN: SK4000025672
  • Nominal Value : 2 000 EUR (two thousand euros)
  • Bond Issue Volume: 2 000 000 EUR
  • Maturity Date: 01.07.2028
  • Securities Prospectus
  • Issuance Terms

CLEAN POWER ESG

SOLD OUT

  • Yield: 7.95% p.a.
  • Nominal value: 1,000 EUR (one thousand euros)
  • Bond issue volume: 999,000 EUR
  • Maturity date: 12/26/2026

FVE SYSTEMS

SOLD OUT

  • Yield: 10.5% p.a.
  • Saving period: 3 years
  • Target revenue:
  • Maturity date: 10/17/2025

INVESTMENT PORTFOLIO