FreeSoft bond has been generated.
FreeSoft Plc. (1037 Budapest, Montevideo u. 8.) hereby informs its investors and the participants of the financial and capital market that bonds issued by the Company has been generated succesfully today.
FreeSoft Plc. privately issued the FreeSoft 2011/B bonds. Total nominal value of the bond is HUF 300 million, its repayment and interest term lasts from 10 May 2010 to 31 May 2011. During private placement, on 10 May 2010 the total amount of 300 bonds of nominal value of HUF 3.000.000 respectively were subscribed at the distributor Equilor Investment Co. by three institutional investors and one individual. Bonds has 10% interest rate annually, full repayment of principal and payment of interest are due at the expiry of 31 May 2011. Bonds were generated at Keler Co. on 12 May 2010, bonds were credited to the securities accounts of investors. From now bonds can be freely traded on OTC market.