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Shareholding Structure

  • Trigon TFI S.A.
  • mm-investments Sp. z o.o.
  • Kancelaria Medius S.A.
  • Others
  • Trigon TFI S.A.

    62,25%

  • mm-investments Sp. z o.o.

    31,25%

  • Kancelaria Medius S.A.

    0,20%

  • Others

    6,30%

Shareholding structure

Number of shares Shareholder structure according to the number of shares Shareholder structure according 
to the number of votes
Trigon TFI S.A. 9 096 242 62,25% 62,25%
mm-investments Sp. z o.o. 4 566 862 31,25% 31,25%
Kancelaria Medius S.A. 30 117 0,20% 0,20%
Others 919 471 6,30% 6,30%
Razem 14 611 692 100% 100%

Dominant shareholder

TRIGON TFI S.A. 
Plac Unii, Budynek B 
ul. Puławska 2 
02-566 Warszawa

Quotations KME

Bonds

Bonds before their redemption date
Series Date
of issue
Date
of redemption
Period
(months)
Conditions Emissions State
N 07.03.2018 07.03.2021 36 Bearer, variable interest rate, secured, nominal value of PLN 1,000.00, listed on Catalyst PLN 21.27 million Catalyst
O 28.02.2018 28.02.2021 36 Bearer, 6% interest rate, secured, nominal value of EUR 1,000.00 EUR 5 million n.a.
M 10.11.2017 14.11.2020 36 Bearer, 6% interest rate, secured, nominal value of EUR 1,000.00 EUR 5 million n.a.
Ł 18.09.2017 18.09.2020 36 Bearer, 6.7% interest rate, unsecured, nominal value of PLN 100.00 PLN 10 million n.a.
L 05.07.2017 05.07.2020 36 Bearer, 6.9% interest rate, secured, nominal value of PLN 100.00,
listed on Catalyst
PLN 10 million Catalyst
J 23.12.2016 23.12.2019 36 Bearer, 6.9% interest rate, secured, nominal value of PLN 100.00, 
listed on Catalyst
PLN 5.7 million Catalyst
I 14.07.2016 14.07.2019 36 Bearer, 7.1% interest rate, secured, nominal value of PLN 100.00, 
listed on Catalyst
PLN 15 million Catalyst
Redeemed bonds
Series Date
of issue
Date
of redemption
Period
(months)
Conditions Emissions State
K 31.03.2017 31.03.2020 36 Bearer, 6.9% interest rate, unsecured, nominal value of PLN 100.00 PLN 6 million n.a.
H 22.02.2016 22.02.2018 24 Bearer, 7.3% interest rate, secured, nominal value of PLN 100.00, 
listed on Catalyst
PLN 7 million redeemed
G 22.10.2015 22.10.2017 24 Bearer, 7.5% interest rate, secured, nominal value of PLN 100.00, 
listed on Catalyst
PLN 3.18 million redeemed
F 02.06.2015 02.06.2017 24 Bearer, 8% interest rate, secured, nominal value of PLN 100.00, 
listed on Catalyst
PLN 3.49 million redeemed
E 17.02.2015 17.02.2017 24 Bearer, 8.5% interest rate, secured, nominal value of PLN 100.00, 
listed on Catalyst
PLN 2.60 million redeemed
D 26.09.2014 26.09.2016 24 Bearer, 9.5% interest rate, secured, nominal value of PLN 100.00, 
listed on Catalyst
PLN 2.28 million redeemed
C 17.04.2014 17.04.2016 24 Bearer, 9% interest rate, secured, nominal value of PLN 100.00, 
listed on Catalyst
PLN 1.15 million redeemed
B 04.10.2013 04.10.2015 24 Bearer, 9% interest rate, secured, nominal value of PLN 100.00, 
listed on Catalyst
PLN 2 million redeemed
A 15.04.2013 15.10.2014 18 Bearer, 11.5% interest rate, secured, nominal value of PLN 100.00, 
listed on Catalyst
PLN 0.40 million redeemed