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

+

INSTRUMENT

CNV Program

+

Class A Corporate Bond

+

Class B Corporate Bond

+
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