Coupon Payment
22.01.2025 10:00:03 (local time)
Company: Sila Holding AD (HSIB)
In view of a forthcoming interest payment on an issue of bonds, please, be informed of the following:
- Issuer: Sila Holding AD
- BSE code: HSIB
- ISIN: BG2100021232
- Date of interest payment: 28.01.2025
- Coupon rate: 6m EURIBOR + 1 %
- All bondholders registered with the Central Depository as of 27.01.2025 (Record Date) will be entitled to receive the payment.
- The final date for transacting in bonds of this issue on BSE-Sofia, as a result of which the buyer will have the right to the interest payment, will be 23.01.2025 (Ex Date: 24.01.2025).
