News
The announcement under Article 92а, paragraph 1 of Public Offering of Securities Act (POSA) for the public offering of securities of convertible bonds of Central Cooperative Bank AD, having Unified Identification Number (UIN) 831447150, is announced also in the Trade Register on 5 November 2013, with which all required publications and announcements under Article 92а, paragraph 2 of POSA.
The dates in respect to the public offering of convertible bonds of CCB are the following:
- Shareholders with pre-emptive rights for participation in the offering – shareholders as of 12 November 2013 (after the end of the settlement)
- Start date for rights trading at BSE – Sofia – 13 November 2013
- Final date for deals with the rights at BSE – Sofia (T+2) – 26 November 2013
- Final date for blocking the rights, submission of Orders for subscription of and payment for convertible bonds (existing shareholders and these who have acquired rights in the period of rights trading) – 28 November 2013
- Auction for unexercised rights according to Art. 112b (7) of Public Offering of Securities Act (POSA) – 5 December 2013
- Final date for subscription of and payment for the convertible bonds via exercising of rights acquired at the auction – 19 December 2013
The entire issue price of the subscribed Convertible Bonds shall be paid at the time of subscription as payment order, cash deposit form or other payment proving document certifying the payment of the issue price shall be attached to the subscription application form.
Rights Ticker: 4CFA
Rights ISIN: BG4000014135
Prospectus for the public offering of convertible bonds (in Bulgarian) and the other information published on 4 November 2013 might be accessed here.