CNV Program
We highlight our corporate bonds as a strategic tool to strengthen our financial structure and support our sustainable growth. These issues reflect our commitment to the capital markets, providing investors with opportunities to participate in our development through solid and well-structured financial instruments. We are focused on meeting the expectations of our stakeholders while promoting transparency and trust in our financial operations.
INSTRUMENT
TICKER
CURRENCY
AMOUNT ISSUED
RATE
EXPIRATION
AMORTIZATION
CNV Program
Class A Corporate Bond
NPCAO
US$
$47,232,818.00
7%
14/03/2026
Bullet
Class B Corporate Bond
NPCBO
US$
$50,000,000.00
10%
17/10/2025
Bullet