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GK Software AG convertible bond issue 2017/2022
Issuer
GK Software AG
Issue date
26 October 2017
Final maturity date
26 October 2022 (5 years)
Total nominal value
EUR 15,000,000.00
Nominal value per bond
EUR 1,000.00
Issue amount
100.00%
Interest rate
3.00% per annum
Initial conversion premium
21.4837% above the reference price of EUR 127.5891
Current conversion price
EUR 155.00
ISIN
DE000A2GSM75
WKN
A2GSM7
Listing
Frankfurt Stock Exchange (Quotation Board)

 

Important documents and links
Conditions for the issue of the convertible bond
Corporate News: Successful issue of a convertible bond worth EUR 15,000,000
Ad-hoc: GK Software AG decides to issue convertible bonds