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25/0874

NOTICE N.º 0874/25

We hereby inform that, on 29th August, 2025, 1.824.702.,00 EUR of bonds, with a nominal value of 1,00 EUR, of the company AGITAPRECEITOS SOCIEDADE DE INVESTIMENTOS LDA shall be issued, regarding the loan "AGITAPRECEITOS/2025 - EUR 1.824.702 - FIXED RATE NOTES DUE 2034 - to be fungible with PTGPTAOM0028", under the code GPTJOM (ISIN PTGPTJOM0003).

Euronext Securities Porto, 28th August, 2025