Asset Code:
17K0162665, 17K0162683, 17K0167464, 17K0167465, 17K0167466, 17K0167467, 17K0167468, 17K0167469, 17K0167470, 17K0167471, 17K0167472, 17K0167473, 17K0167474, 17K0167475, 17K0167476 e 17K0167477
Inflation adjustment:
IGP-M/FGV
Interest rate:
16,25% a.a.
Maturity date:
20/12/2022
Issued quantity:
95.900
Issued amount:
R$ 95.900.000,00
Trustee:
Vórtx Distribuidorade Títulos e Valores Mobiliários Ltda.
Underwriter:
CM Capital Markets DTVA Ltda.
Trading platform:
CETIP21