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25/1059

NOTICE N.º 1059/25

We hereby inform that, on 23th October, 2025, the following issues of bonds, with a nominal value of 100.000,00 EUR, were issued, of GAMMA - SOCIEDADE DE TITULARIZAÇÃO DE CRÉDITOS, S.A.:

ISIN CVM Name Amount
PTGAMUOM0028 GAMUOM GAMMA/2025 - CONSUMER TOTTA 3 - CLASS A FLOATING RATE NOTES DUE 2035 347.800.000,00 EUR
PTGAMVOM0019 GAMVOM GAMMA/2025 - CONSUMER TOTTA 3 - CLASS B FLOATING RATE NOTES DUE 2035 27.200.000,00 EUR
PTGAMWOM0018 GAMWOM GAMMA/2025 - CONSUMER TOTTA 3 - CLASS C FLOATING RATE NOTES DUE 2035 20.900.000,00 EUR
PTGAMXOM0017 GAMXOM GAMMA/2025 - CONSUMER TOTTA 3 - CLASS D FLOATING RATE NOTES DUE 2035 14.700.000,00 EUR
PTGAMYOM0024 GAMYOM GAMMA/2025 - CONSUMER TOTTA 3 - CLASS E FLOATING RATE NOTES DUE 2035 8.400.000,00 EUR
PTGAMZOM0023 GAMZOM GAMMA/2025 - CONSUMER TOTTA 3 - CLASS F FLOATING RATE NOTES DUE 2035 4.200.000,00 EUR

Euronext Securities Porto, 23th October, 2025