NOTICE N.º 1093/25
We hereby inform that, on 31th October, 2025, 29.161.360.,00 EUR of bonds, with a nominal value of 1,00 EUR, of the company REGAENERGY GROUP, S.A. were issued, regarding the loan "REGAENERGY GROUP/2025 - EUR 29.161.360 CONVERTIBLE BONDS due 2030", under the code RGYDOM (ISIN PTRGYDOM0000).
Euronext Securities Porto, 31th October, 2025