Asset Code:
19I0300025 ,19I0300235 ,19I0300030 ,19I0300236 ,19I0300031 ,19I0300237 ,19I0300036 ,19I0300238 ,19I0300037 ,19I0300239
Inflation adjustment:
IGPM
Interest rate:
12,40%
20,1658%
Maturity date:
20/05/2025
Issued quantity:
121.000
Issued amount:
R$ 121.000,000,00
Trustee:
Vórtx Distribuidora de Títulos e Valores Mobiliários Ltda.
Underwriter:
EASYNVEST – TÍTULO CORRETORA DE VALORES AS
Trading platform:
CETIP21