Purchase and redemption of all series P bonds

RB 35/2023

The Management Board of PragmaGO S.A. (the “Issuer”), with reference to current report No. 32/2023 dated June 6, 2023, announces that on June 19, 2023, the Issuer purchased 100,000 P-series bonds with an aggregate nominal value of PLN 10,000,000 (the “Bonds”) in execution of an early redemption of the Bonds and adopted a resolution to redeem the Bonds.

Legal basis: § 20 para. 3 of the Regulation of the Minister of Finance of March 29, 2018 on current and periodic information (…).

PragmaGO SA

Brynowska 72
40-584 Katowice
biuro@pragmago.pl
NIP: 634 24 27 710
REG: 277573126

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