Most series of our bonds are listed on the Catalyst public market. Below you can check the current prices and the basic parameters of each of them.
Select the series you are interested in from the drop-down list.
Check the current quotations of the bonds issued by us along with basic information about each of them.
Most series of our bonds are listed on the Catalyst public market. Below you can check the current prices and the basic parameters of each of them.
Select the series you are interested in from the drop-down list.
BASIC INFORMATION – PFR0324 | |
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Issuer’s name | Polish Development Fund (PFR S.A.) |
Authorization date | 28.05.2020 |
First listing date | 28.05.2020 |
Redemption date | 29.03.2020 |
Nominal value (PLN) | 1 000 000,00 |
Issue value (PLN) | 16 325 000 000,00 |
Type of bond | Fixed interest-rate |
Interest in the current interest period (%) | 1.375% |
BASIC INFORMATION – PFR0325 | |
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Issuer’s name | Polish Development Fund (PFR S.A.) |
Authorization date | 28.05.2020 |
First listing date | 28.05.2020 |
Redemption date | 31.03.2025 |
Nominal value (PLN) | 1 000 000,00 |
Issue value (PLN) | 18 500 000 000,00 |
Type of bond | Fixed interest-rate |
Interest in the current interest period (%) | 1.625% |
BASIC INFORMATION – PFR0627 | |
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Issuer’s name | Polish Development Fund (PFR S.A.) |
Authorization date | 27.07.2020 |
First listing date | 27.07.2020 |
Redemption date | 07.06.2027 |
Nominal value (PLN) | 1 000 000,00 |
Issue value (PLN) | 10 000 000 000,00 |
Type of bond | Fixed interest-rate |
Interest in the current interest period (%) | 1.750% |
BASIC INFORMATION – PFR0925 | |
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Issuer’s name | Polish Development Fund (PFR S.A.) |
Authorization date | 28.05.2020 |
First listing date | 28.05.2020 |
Redemption date | 22.09.2025 |
Nominal value (PLN) | 1 000 000,00 |
Issue value (PLN) | 15 175 000 000,00 |
Type of bond | Fixed interest-rate |
Interest in the current interest period (%) | 1.625% |
BASIC INFORMATION – PF10927 | |
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Issuer’s name | Polish Development Fund (PFR S.A.) |
Authorization date | 23.03.2021 |
First listing date | 23.03.2021 |
Redemption date | 30.09.2027 |
Nominal value (PLN) | 1 000 000,00 |
Issue value (PLN) | 900 000 000,00 |
Type of bond | Fixed interest-rate |
Interest in the current interest period (%) | 1.375% |
BASIC INFORMATION – PFR0330 | |
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Issuer’s name | Polish Development Fund (PFR S.A.) |
Authorization date | 23.03.2021 |
First listing date | 23.03.2021 |
Redemption date | 05.03.2030 |
Nominal value (PLN) | 1 000 000,00 |
Issue value (PLN) | 3 250 000 000,00 |
Type of bond | Fixed interest-rate |
Interest in the current interest period (%) | 2.000% |
BASIC INFORMATION – PFR0827 | |
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Issuer’s name | Polish Development Fund (PFR S.A.) |
Authorization date | 23.03.2021 |
First listing date | 23.03.2021 |
Redemption date | 30.08.2027 |
Nominal value (PLN) | 1 000 000,00 |
Issue value (PLN) | 5 250 000 000,00 |
Type of bond | Fixed interest-rate |
Interest in the current interest period (%) | 1.375% |
BASIC INFORMATION – PFR0927 | |
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Issuer’s name | Polish Development Fund (PFR S.A.) |
Authorization date | 23.03.2021 |
First listing date | 23.03.2021 |
Redemption date | 30.09.2027 |
Nominal value (PLN) | 1 000 000,00 |
Issue value (PLN) | 2 000 000 000,00 |
Type of bond | Fixed interest-rate |
Interest in the current interest period (%) | 1.500% |
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