Carraro Finance S.A.
Distribution
- Distribution Period: from Wednesday, October the 25th until Tuesday, October the 31st 2023, with one phase (which may be reduced in the case of early closure).
- Settlement date for trades executed during the Placement Period: 06 November 2023 unless the Placement Period is extended. In this case the Settlement Date is the fifth business day after the end of the Placement Period.
- Dealers selected by the Issuer for the distribution: Equita SIM S.p.A.
- Fixed price for trades executed during the Placement Period (Issue price): 100%
- Coupon: the coupon amount, paid on a semi-annually basis, is equal to 7.75% of the nominal value of the bond.
- Placement methods: continuous trading phase only from 9.00 till 17.30 (no opening auction phase), except for early closure.
- Orders that can be entered during the Placement Period by the Market participants. Market orders only with validity types Good-till-Cancel (GTC) on buy side.
- Minimum lot purchasable: 1,000 Eur.
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For more information please visit the issuer's website