Fixed to Reset Rate Subordinated Notes due 2080 - 3rd Coupon Payment
Fixed to Reset Rate Subordinated Notes due 2080 - 3rd Coupon Payment
Lisbon, July 12th, 2022:Pursuant to the terms and for the purposes of the articles 244º and 249º of the Portuguese Securities Code and article 7, no. 2 of the Portuguese Securities Market Commission’s Regulation no. 5/2008, EDP – Energias de Portugal, S.A. is providing the following information to the market:
EDP hereby informs the bondholders that the interests regarding the 3rd coupon of the notes with the Central Securities Depository code EDPLOM will be payable since 20th July 2022 with the following amounts:
Gross Interest* 1.700000000000 %
* Subject to corporate/personal withholding income tax in accordance to the taxation rules and rates applicable at the payment date.
The paying agent nominated for this purpose is Deutsche Bank AG, Sucursal em Portugal (Branch-Office in Portugal).
EDP – Energias de Portugal. S.A.