Bolsa de Valores de Mocambique
ARCO 100.00
ARKO SEGUROS 1.250,00
CDM 33,75
CETA 120,00
CMH 2.500,00
EMOSE 20,00
HCB 2,10
REVIMO 12,750.00
TOUCH 100.00
ZERO 20,00
2BUSINESS 1,00
BAYPORT 2019 Série I 20.0000%
BAYPORT 2019 Série II 19.0000%
BAYPORT 2020 Série I 16.0000%
BAYPORT 2020 Série II 19,4000%
BAYPORT 2021 Série I 18,0000%
BAYPORT 2021 Série II 18,0000%
BAYPORT 2021 Série III 18,0000%
BAYPORT 2021 Série IV 18,0000%
BNI 2019 S1 16.0000%
CM 2017 19,0000%
OT 2005 S2 8.0000%
OT 2017 S6 16,9375%
OT 2017 S7 16.9375%
OT 2018 S10 14.8750%
OT 2018 S11 14.9375%
OT 2018 S12 14,9375%
OT 2019 S2 14.9375%
OT 2019 S3 14.9375%
OT 2019 S4 14,9375%
OT 2019 S5 14.9375%
OT 2019 S6 14,8750%
OT 2019 S7 15,3750%
OT 2019 S8 10,0000%
OT 2019 S9 12.0000%
OT Fornecedores 2019 4,0625%
OT 2020 S1 14.9375%
OT 2020 S2 14.9375%
OT 2020 S3 14,9375%
OT 2020 S4 14,9375%
OT 2020 S6 10.0000%
OT 2020 S5 14, 8750%
OT 2020 S7 14,9375%
OT 2020 S8 14,9375%
OT 2020 S9 14,9375%
OT 2020 S10 14.9375%
OT 2020 S11 3,8125%
OT 2021 S1 10.0000%
OT 2021 S2 13.0000%
OT 2021 S3 14,000%
OT 2021 S4 14,0000%
OT 2021 S5 14,2500%
OT 2021 S6 14,2500%
OT 2021 S8 14,0000%
OT 2021 S7 14,2500%
The holders of the Visabeira Moçambique, SA Bonds and the general public are informed that. According to the conditions of issue, Visabeira Moçambique, SA will make the payment of the interest of the Decenth and Last Coupon of said securities on March 23, 2020, at an interest rate of 20.25%. Each of the 2,500,000 Securities, whose nominal unit value is 100.00MT, corresponds to a semiannual gross interest of 10,125 MT.

It is further informed that on this date, the total capital in debt will also be amortized in the nominal value of 100.00MT for each of the 2,500,000 securities.

Thus, pursuant to article 71 in conjunction with paragraph b) of article 79 of the Securities Market Code, it is hereby informed that after this reimbursement, the Visabeira Moçambique, SA Bonds will be excluded from listing on the Mozambique Stock Exchange, by extinction the loan.

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