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Gaia Impacto Securitizadora S.A.

CRA Conesxus

CRA

4º CRA Subordinado Júnior

34º

CRA02200ENZ

Features:
Asset type CRA
Issuer Gaia Impacto Securitizadora S.A
Issuer's CNPJ (Corporate Taxpayer ID) Number 14.876.090/0001-93
Nickname CRA Conexsus
Issuance Number 34º
Series Number 4º CRA Subordinado Júnior
Asset Code 02200EWZ
ISIN Code ...
Date of Issuance 12/29/2022
Due Date 12/29/2025
Amount Issued 2.000
Total Volume on Issuance Date R$ 2.000.000,00
Unit Face Value on Issuance Date R$ 1.000,00
Placement Regime CVM476
Interest Rate 0,50% a.a.
Indexer Pré-fixada
Amortization Period Cronograma Anexo II Termo de Securitização
Interest Payment Period Cronograma Anexo II Termo de Securitização
Guarantee/Kind Real
Risk Classification N/A

Attachments:

Warnings

Additions

Assemblies

Periodic reports

Regulations

Documents

Gaia Impacto Securitizadora S.A.

CRA Conesxus

CRA

3º CRA Subordinado Mezanino

34º

CRA02200ENY

Features:
Asset type CRA
Issuer Gaia Impacto Securitizadora S.A
Issuer's CNPJ (Corporate Taxpayer ID) Number 14.876.090/0001-93
Nickname CRA Conexsus
Issuance Number 34º
Series Number 3º CRA Subordinado Mezanino
Asset Code 02200ENY
ISIN Code ...
Date of Issuance 12/29/2022
Due Date 12/29/2025
Amount Issued 4.000
Total Volume on Issuance Date R$ 4.000.000,00
Unit Face Value on Issuance Date R$ 1.000,00
Placement Regime CVM476
Interest Rate 8,50% a.a.
Indexer Pré-fixada
Amortization Period Cronograma Anexo II Termo de Securitização
Interest Payment Period Cronograma Anexo II Termo de Securitização
Guarantee/Kind Real
Risk Classification N/A

Attachments:

Warnings

Additions

Assemblies

Periodic reports

Regulations

Documents

Gaia Impacto Securitizadora S.A.

CRA Conesxus

CRA

2º CRA Sênior II

34º

CRA02200ENX

Features:
Asset type CRA
Issuer Gaia Impacto Securitizadora S.A
Issuer's CNPJ (Corporate Taxpayer ID) Number 14.876.090/0001-93
Nickname CRA Conexsus
Issuance Number 34º
Series Number 2º CRA Sênior II
Asset Code 02200EWX
ISIN Code ...
Date of Issuance 12/29/2022
Due Date 6/29/2025
Amount Issued 1.000
Total Volume on Issuance Date R$ 1.000.000,00
Unit Face Value on Issuance Date R$ 1.000,00
Placement Regime CVM476
Interest Rate 13,65% a.a.
Indexer Pré-fixada
Amortization Period Cronograma Anexo II Termo de Securitização
Interest Payment Period Cronograma Anexo II Termo de Securitização
Guarantee/Kind Real
Risk Classification N/A

Attachments:

Warnings

Additions

Assemblies

Periodic reports

Regulations

Documents

Gaia Impacto Securitizadora S.A.

CRA Conesxus

CRA

1º CRA Sênior I

34º

CRA02200E7D

Features:
Asset type CRA
Issuer Gaia Impacto Securitizadora S.A
Issuer's CNPJ (Corporate Taxpayer ID) Number 14.876.090/0001-93
Nickname CRA Conexsus
Issuance Number 34º
Series Number 1º CRA Sênior I
Asset Code 02200E7D
ISIN Code ...
Date of Issuance 12/29/2022
Due Date 5/29/2025
Amount Issued 10.000
Total Volume on Issuance Date R$ 10.000.000,00
Unit Face Value on Issuance Date R$ 1.000,00
Placement Regime CVM476
Interest Rate 2,10%a.a.
Indexer CDI
Amortization Period Cronograma Anexo II Termo de Securitização
Interest Payment Period Cronograma Anexo II Termo de Securitização
Guarantee/Kind Real
Risk Classification N/A

Attachments:

Warnings

PU

Additions

Assemblies

Periodic reports

Regulations

Documents

Canal Companhia de Securitização S.A.

Bodytech

CRI

Única

101

24E2335939

Attachments:

Attachments

PU

Opea Securitizadora S.A.

Village

CRI

442

1

22A0884066

Features:
Asset type CRI
Issuer OPEA
Issuer's CNPJ (Corporate Taxpayer ID) Number 02.773.542/0001-22
Nickname Village
Issuance Number 1
Series Number 442
Asset Code 22A0884066
ISIN Code BRRBRACRIAZ7
Date of Issuance 21/1/2022
Due Date 18/7/2033
Amount Issued 20.000
Total Volume on Issuance Date R$ 20.000.000,00
Unit Face Value on Issuance Date R$ 1.000,00
Placement Regime ICVM476
Interest Rate 6,04% a.a.
Indexer IPCA
Amortization Period Mensal
Interest Payment Period Mensal
Guarantee/Kind Real
Risk Classification N/A
Opea Securitizadora S.A.

Village

CRI

441

1

22A0883824

Features:
Asset type CRI
Issuer OPEA
Issuer's CNPJ (Corporate Taxpayer ID) Number 02.773.542/0001-22
Nickname Village
Issuance Number 1
Series Number 441
Asset Code 22A0883824
ISIN Code BRRBRACRIAY0
Date of Issuance 21/1/2022
Due Date 18/7/2033
Amount Issued 16.789
Total Volume on Issuance Date R$ 16.789.000,00
Unit Face Value on Issuance Date R$ 1.000,00
Placement Regime ICVM476
Interest Rate 8,50% a.a.
Indexer IPCA
Amortization Period Mensal
Interest Payment Period Mensal
Guarantee/Kind Real
Risk Classification N/A
Ourinvest Securitizadora S.A.

EKKO

CRI

48

1

22B0555800

Features:
Asset type CRI
Issuer Ourinvest Securitizadora S.A
Issuer's CNPJ (Corporate Taxpayer ID) Number 12.320.349/0001-90
Nickname EKKO
Issuance Number 1
Series Number 47
Asset Code 22B0555782
ISIN Code BROSECCRI163
Date of Issuance 15/2/2022
Due Date 20/10/2028
Amount Issued 20.500
Total Volume on Issuance Date R$ 20.500.000,00
Unit Face Value on Issuance Date R$ 1.000,00
Placement Regime ICVM476
Interest Rate 9,00% a.a.
Indexer IPCA
Amortization Period Cronograma Anexo I Termo de Securitização
Interest Payment Period Cronograma Anexo I Termo de Securitização
Guarantee/Kind Real
Risk Classification N/A

Attachments:

Periodic reports

Regulations

Documents

Ourinvest Securitizadora S.A.

EKKO

CRI

47

1

22B0555782

Features:
Asset type CRI
Issuer Ourinvest Securitizadora S.A
Issuer's CNPJ (Corporate Taxpayer ID) Number 12.320.349/0001-90
Nickname EKKO
Issuance Number 1
Series Number 47
Asset Code 22B0555782
ISIN Code BROSECCRI155
Date of Issuance 15/2/2022
Due Date 20/10/2024
Amount Issued 18.000
Total Volume on Issuance Date R$ 18.000.000,00
Unit Face Value on Issuance Date R$1.000,00
Placement Regime ICVM476
Interest Rate 9,00% a.a.
Indexer IPCA
Amortization Period Cronograma Anexo I Termo de Securitização
Interest Payment Period Cronograma Anexo I Termo de Securitização
Guarantee/Kind Real
Risk Classification N/A

Attachments:

Periodic reports

Regulations

Documents

Ourinvest Securitizadora S.A.

Minas Brisa

CRI

46

1

21I0912120

Features:
Asset type CRI
Issuer Ourinvest Securitizadora S.A
Issuer's CNPJ (Corporate Taxpayer ID) Number 12.320.349/0001-90
Nickname Minas Brisa
Issuance Number 1
Series Number 46
Asset Code 21I0912120
ISIN Code BROSECCRI148
Date of Issuance 2021-09-24
Due Date 2026-09-25
Amount Issued 87.500
Total Volume on Issuance Date R$ 87.500.000,00
Unit Face Value on Issuance Date R$1.000,00
Placement Regime ICVM476
Interest Rate 7,50% a.a.
Indexer IPCA
Amortization Period Anexo I - Termo de Securitização
Interest Payment Period Mensal
Guarantee/Kind Real
Risk Classification N/A

Attachments:

Periodic reports

Regulations

RDA Importação, Exportação e Serviços S.A.

RDA II (The Led II)

Debênture

Única

2

RDAS21

Features:
Asset type Debêntures
Issuer RDA IMPORTACAO EXPORTACAO E SERVICOS SA
Issuer's CNPJ (Corporate Taxpayer ID) Number 12.647.827/0001-70
Nickname RDA II (The Led II)
Issuance Number 2
Series Number Única
Asset Code RDAS21
Date of Issuance 2021-12-20
Due Date 2027-01-15
Unit Face Value on Issuance Date R$1.000,00
Placement Regime ICVM476
Indexer CDI
Amortization Period Mensal
Interest Payment Period Mensal
Guarantee/Kind Real
Risk Classification N/A

Attachments:

Documents

PU

Emive Participações S.A.

EMIVE

Debênture

Única

1

EMIV11

Features:

Attachments:

Documents

PU

RDA Importação, Exportação e Serviços S.A.

RDA I (The Led I)

Debênture

2

1

RDAS12

Features:
Asset type Debêntures
Issuer RDA IMPORTACAO EXPORTACAO E SERVICOS SA
Issuer's CNPJ (Corporate Taxpayer ID) Number 12.647.827/0001-70
Nickname RDA I (The Led I)
Issuance Number 1
Series Number 2
Asset Code RDAS12
ISIN Code BRRDASDBS015
Date of Issuance 2021-12-20
Due Date 2027-01-15
Amount Issued 10.000
Total Volume on Issuance Date R$ 10.000.000,00
Unit Face Value on Issuance Date R$1.000,00
Placement Regime ICVM476
Interest Rate 7,00% a.a.
Indexer CDI
Amortization Period Mensal
Interest Payment Period Mensal
Guarantee/Kind Real
Risk Classification N/A
RDA Importação, Exportação e Serviços S.A.

RDA I (The Led I)

Debênture

1

1

RDAS11

Features:
Asset type Debêntures
Issuer RDA IMPORTACAO EXPORTACAO E SERVICOS SA
Issuer's CNPJ (Corporate Taxpayer ID) Number 12.647.827/0001-70
Nickname RDA I (The Led I)
Issuance Number 1
Series Number 1
Asset Code RDAS11
ISIN Code BRRDASDBS007
Date of Issuance 2021-12-20
Due Date 2027-01-15
Amount Issued 21.300
Total Volume on Issuance Date R$ 21.300.000,00
Unit Face Value on Issuance Date R$1.000,00
Placement Regime ICVM476
Interest Rate 7,00% a.a.
Indexer CDI
Amortization Period Mensal
Interest Payment Period Mensal
Guarantee/Kind Real
Risk Classification N/A
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