PBR » Topics » 14.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

This excerpt taken from the PBR 6-K filed Nov 19, 2009.

14.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01 - ITEM  03 
02 - ISSUANCE ORDER NUMBER 
03 - CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04 - DATE OF REGISTRATION WITH CVM  10/31/2002 
05 - DEBENTURE SERIES ISSUED 
06 - ISSUE TYPE  SIMPLE 
07 - NATURE OF ISSUE  PUBLIC 
08 - ISSUE DATE  10/04/2002 
09 - DUE DATE  10/01/2010 
10 - TYPE OF DEBENTURE  VARIABLE 
11 - CURRENT REMUNERATION TERMS  IGPM plus 10,3% p.a. 
12 - PREMIUM/DISCOUNT   
13 - FACE VALUE (REAIS) 1.000,00 
14 - AMOUNT ISSUED (IN THOUSAND OF REAIS) 775.000 
15 - NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
16 - DEBENTURES IN CIRCULATION (UNITS) 775.000 
17 - DEBENTURES IN TREASURY (UNITS)
18 - DEBENTURES REDEEMED (UNITS)
19 - DEBENTURES CONVERTED (UNITS)
20 - DEBENTURES FOR PLACEMENT (UNITS)
21 - DATE OF THE LAST REPRICING   
22 - DATE OF THE NEXT EVENT  10/01/2009 

This excerpt taken from the PBR 6-K filed Aug 18, 2009.

14.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01 – ITEM  03 
02 – ISSUANCE ORDER NUMBER 
03 – CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04 – DATE OF REGISTRATION WITH CVM  10/31/2002 
05 – DEBENTURE SERIES ISSUED 
06 – ISSUE TYPE  SIMPLE 
07 – NATURE OF ISSUE  PUBLIC 
08 – ISSUE DATE  10/04/2002 
09 – DUE DATE  10/01/2010 
10 – TYPE OF DEBENTURE  VARIABLE 
11 – CURRENT REMUNERATION TERMS  IGPM plus 10,3% p.a. 
12 – PREMIUM/DISCOUNT   
13 – FACE VALUE (REAIS) 1.000,00 
14 – AMOUNT ISSUED (IN THOUSAND OF REAIS) 775.000 
15 – NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
16 – DEBENTURES IN CIRCULATION (UNITS) 775.000 
17 – DEBENTURES IN TREASURY (UNITS)
18 – DEBENTURES REDEEMED (UNITS)
19 – DEBENTURES CONVERTED (UNITS)
20 – DEBENTURES FOR PLACEMENT (UNITS)
21 – DATE OF THE LAST REPRICING   
22 – DATE OF THE NEXT EVENT  10/01/2009 

This excerpt taken from the PBR 6-K filed Jun 8, 2009.

14.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01 - ITEM  03 
02 - ISSUANCE ORDER NUMBER 
03 - CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04 - DATE OF REGISTRATION WITH CVM  10/31/2002 
05 - DEBENTURE SERIES ISSUED 
06 - ISSUE TYPE  SIMPLE 
07 - NATURE OF ISSUE  PUBLIC 
08 - ISSUE DATE  10/04/2002 
09 - DUE DATE  10/01/2010 
10 - TYPE OF DEBENTURE  VARIABLE 
11 - CURRENT REMUNERATION TERMS  IGPM plus 10,3% per annum 
12 - PREMIUM/DISCOUNT   
13 - FACE VALUE (REAIS) 1.000,00 
14 - AMOUNT ISSUED (IN THOUSANDS OF REAIS) 775.000 
15 - NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
16 - DEBENTURES IN CIRCULATION (UNITS) 775.000 
17 - DEBENTURES IN TREASURY (UNITS)
18 - DEBENTURES REDEEMED (UNITS)
19 - DEBENTURES CONVERTED (UNITS)
20 - DEBENTURES FOR PLACEMENT (UNITS)
21 - DATE OF THE LAST REPRICING   
22 - DATE OF THE NEXT EVENT  10/01/2009 

This excerpt taken from the PBR 6-K filed Nov 12, 2008.

10.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01 - ITEM  03 
02 - ISSUANCE ORDER NUMBER 
03 - CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04 - DATE OF REGISTRATION WITH CVM  10/31/2002 
05 - DEBENTURE SERIES ISSUED 
06 - ISSUE TYPE  SIMPLE 
07 - NATURE OF ISSUE  PUBLIC 
08 - ISSUE DATE  10/04/2002 
09 - DUE DATE  10/01/2010 
10 - TYPE OF DEBENTURE  VARIABLE 
11 - CURRENT REMUNERATION TERMS  IGPM plus 10,3% per annum 
12 - PREMIUM/DISCOUNT   
13 - FACE VALUE (REAIS) 1.000,00 
14 - AMOUNT ISSUED (IN THOUSANDS OF REAIS) 775.000 
15 - NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
16 - DEBENTURES IN CIRCULATION (UNITS) 775.000 
17 - DEBENTURES IN TREASURY (UNITS)
18 - DEBENTURES REDEEMED (UNITS)
19 - DEBENTURES CONVERTED (UNITS)
20 - DEBENTURES FOR PLACEMENT (UNITS)
21 - DATE OF THE LAST REPRICING   
22 - DATE OF THE NEXT EVENT  10/01/2009 

This excerpt taken from the PBR 6-K filed Aug 13, 2008.

10.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01 - ITEM  03 
02 - ISSUANCE ORDER NUMBER 
03 - CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04 - DATE OF REGISTRATION WITH CVM  10/31/2002 
05 - DEBENTURE SERIES ISSUED 
06 - ISSUE TYPE  SIMPLE 
07 - NATURE OF ISSUE  PUBLIC 
08 - ISSUE DATE  10/04/2002 
09 - DUE DATE  10/01/2010 
10 - TYPE OF DEBENTURE  VARIABLE 
11 - CURRENT REMUNERATION TERMS  IGPM plus 10,3% per annum 
12 - PREMIUM/DISCOUNT   
13 - FACE VALUE (REAIS) 1.000,00 
14 - AMOUNT ISSUED (IN THOUSANDS OF REAIS) 775.000 
15 - NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
16 - DEBENTURES IN CIRCULATION (UNITS) 775.000 
17 - DEBENTURES IN TREASURY (UNITS)
18 - DEBENTURES REDEEMED (UNITS)
19 - DEBENTURES CONVERTED (UNITS)
20 - DEBENTURES FOR PLACEMENT (UNITS)
21 - DATE OF THE LAST REPRICING   
22 - DATE OF THE NEXT EVENT  09/30/2008 

This excerpt taken from the PBR 6-K filed Nov 21, 2007.

10.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01 – ITEM  03 
02 - ISSUANCE ORDER NUMBER
03 - CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04 - DATE OF REGISTRATION WITH CVM  10/31/2002 
05 - DEBENTURE SERIES ISSUED 
06 – ISSUE TYPE  SIMPLE 
07 – NATURE OF ISSUE  PUBLIC 
08 - ISSUE DATE  10/04/2002 
09 - DUE DATE  10/01/2010 
10 - TYPE OF DEBENTURE  VARIABLE 
11 - CURRENT REMUNERATION TERMS  IGPM plus 10,3% per annum 
12 - PREMIUM/DISCOUNT   
13 - FACE VALUE (REAIS) 1.000,00 
14 - AMOUNT ISSUED (IN THOUSANDS OF REAIS) 775.000 
15 - NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
16 - DEBENTURES IN CIRCULATION (UNITS) 775.000 
17 - DEBENTURES IN TREASURY (UNITS)
18 - DEBENTURES REDEEMED (UNITS)
19 - DEBENTURES CONVERTED (UNITS)
20 - DEBENTURES FOR PLACEMENT (UNITS)
21 - DATE OF THE LAST REPRICING   
22 - DATE OF THE NEXT EVENT  09/30/2008 

This excerpt taken from the PBR 6-K filed Aug 21, 2007.

10.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01 – ITEM  03 
02 - ISSUANCE ORDER NUMBER 
03 - CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04 - DATE OF REGISTRATION WITH CVM  10/31/2002 
05 - DEBENTURE SERIES ISSUED 
06 – ISSUE TYPE  SIMPLE 
07 – NATURE OF ISSUE  PUBLIC 
08 - ISSUE DATE  10/04/2002 
09 - DUE DATE  10/01/2010 
10 - TYPE OF DEBENTURE  VARIABLE 
11 - CURRENT REMUNERATION TERMS  IGPM plus 10,3% per year 
12 - PREMIUM/DISCOUNT   
13 - FACE VALUE (REAIS) 1.000,00 
14 - AMOUNT ISSUED (IN THOUSANDS OF REAIS) 775.000 
15 - NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
16 - DEBENTURES IN CIRCULATION (UNITS) 775.000 
17 - DEBENTURES IN TREASURY (UNITS)
18 - DEBENTURES REDEEMED (UNITS)
19 - DEBENTURES CONVERTED (UNITS)
20 - DEBENTURES FOR PLACEMENT (UNITS)
21 - DATE OF THE LAST REPRICING   
22 - DATE OF THE NEXT EVENT  09/30/2007 

This excerpt taken from the PBR 6-K filed Jun 8, 2007.

10.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01 - ITEM  03 
02 - ISSUANCE ORDER NUMBER 
03 - CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04 - DATE OF REGISTRATION WITH CVM  10/31/2002 
05 - DEBENTURE SERIES ISSUED 
06 - TYPE  SIMPLE 
07 - NATURE  PUBLIC 
08 - ISSUE DATE  10/04/2002 
09 - DUE DATE  10/01/2010 
10 - TYPE OF DEBENTURE  VARIABLE 
11 - CURRENT REMUNERATION TERMS  IGPM plus 10,3% per year 
12 - PREMIUM/DISCOUNT   
13 - FACE VALUE (REAIS) 1.000,00 
14 - AMOUNT ISSUED (IN THOUSANDS OF REAIS) 775.000 
15 - NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
16 - DEBENTURES IN CIRCULATION (UNITS) 775.000 
17 - DEBENTURES IN TREASURY (UNITS)
18 - DEBENTURES REDEEMED (UNITS)
19 - DEBENTURES CONVERTED (UNITS)
20 - DEBENTURES FOR PLACEMENT (UNITS)
21 - DATE OF THE LAST REPRICING   
22 - DATE OF THE NEXT EVENT  10/01/2007 

This excerpt taken from the PBR 6-K filed Nov 17, 2006.

10.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01 - ITEM  03 
02 - ISSUANCE ORDER NUMBER 
03 - CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04 - DATE OF REGISTRATION WITH CVM  OCTOBER 31, 2002 
05 - DEBENTURE SERIES ISSUED 
06 - TYPE  SIMPLE 
07 - NATURE  PUBLIC 
08 - ISSUE DATE  OCTOBER 4, 2002 
09 - DUE DATE  OCTOBER 1, 2010 
10 - TYPE OF DEBENTURE  VARIABLE 
11 - CURRENT REMUNERATION TERMS  IGPM plus 10.3% per year 
12 - PREMIUM/DISCOUNT   
13 - FACE VALUE (REAIS) 1.000.00 
14 - AMOUNT ISSUED (IN THOUSANDS OF REAIS) 775.000 
15 - NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
16 - DEBENTURES IN CIRCULATION (UNITS) 775.000 
17 - DEBENTURES IN TREASURY (UNITS)
18 - DEBENTURES REDEEMED (UNITS)
19 - DEBENTURES CONVERTED (UNITS)
20 - DEBENTURES FOR PLACEMENT (UNITS)
21 - DATE OF THE LAST REPRICING   
22 - DATE OF THE NEXT EVENT  OCTOBER 1, 2006 

123


 
16.01 - OTHER INFORMATION THE COMPANY CONSIDERED SIGNIFICANT 
 

This excerpt taken from the PBR 6-K filed Aug 25, 2006.

10.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

     
01  ITEM  03 
     
02  ISSUANCE ORDER NUMBER 
     
03  CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
     
04  DATE OF REGISTRATION WITH CVM  OCTOBER 31, 2002 
     
05  DEBENTURE SERIES ISSUED 
     
06  TYPE  SIMPLE 
     
07  NATURE  PUBLIC 
     
08  ISSUE DATE  OCTOBER 4, 2002 
     
09  DUE DATE  OCTOBER 1, 2010 
     
10  TYPE OF DEBENTURE  VARIABLE 
     
11  CURRENT REMUNERATION TERMS  IGPM plus 10.3% per year 
     
12  PREMIUM/DISCOUNT   
     
13  FACE VALUE (REAIS) 1.000.00 
     
14  AMOUNT ISSUED (IN THOUSANDS OF REAIS) 775.000 
     
15  NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
     
16  DEBENTURES IN CIRCULATION (UNITS) 775.000 
     
17  DEBENTURES IN TREASURY (UNITS)
     
18  DEBENTURES REDEEMED (UNITS)
     
19  DEBENTURES CONVERTED (UNITS)
     
20  DEBENTURES FOR PLACEMENT (UNITS)
     
21  DATE OF THE LAST REPRICING   
     
22  DATE OF THE NEXT EVENT  OCTOBER 1, 2006 
     

92


 
16.01 - OTHER INFORMATION THE COMPANY CONSIDERED SIGNIFICANT 
 

This excerpt taken from the PBR 6-K filed Jun 26, 2006.

10.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01  ITEM  02 
02  ISSUANCE ORDER NUMBER 
03  CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/035 
04  DATE OF REGISTRATION WITH CVM  AUGUST 30, 2002 
05  DEBENTURE SERIES ISSUED 
06  TYPE  SIMPLE 
07  NATURE  PUBLIC 
08  ISSUE DATE  AUGUST 1, 2002 
09  DUE DATE  AUGUST 1, 2012 
10  TYPE OF DEBENTURE  VARIABLE 
11  CURRENT REMUNERATION TERMS  IGPM plus 11% per year 
12  PREMIUM/DISCOUNT   
13  FACE VALUE (REAIS) 1.000.00 
14  AMOUNT ISSUED (IN THOUSANDS OF REAIS) 750.000 
15  NUMBER OF DEBENTURES ISSUED (UNITS) 750.000 
16  DEBENTURES IN CIRCULATION (UNITS) 750.000 
17  DEBENTURES IN TREASURY (UNITS)
18  DEBENTURES REDEEMED (UNITS)
19  DEBENTURES CONVERTED (UNITS)
20  DEBENTURES FOR PLACEMENT (UNITS)
21  DATE OF THE LAST REPRICING   
22  DATE OF THE NEXT EVENT  JULY 31, 2006 

118


01 

ITEM

01 
02 

ISSUANCE ORDER NUMBER

03 

CVM REGISTRATION NUMBER

 
04 

DATE OF REGISTRATION WITH CVM

 
05 

DEBENTURE SERIES ISSUED

06 

TYPE

SIMPLE 
07 

NATURE

PRIVATE 
08 

ISSUE DATE

FEBRUARY 15, 1998 
09 

DUE DATE

FEBRUARY 15, 2015 
10 

TYPE OF DEBENTURE

VARIABLE 
11 

CURRENT REMUNERATION TERMS

TJLP plus 2.5% 
12 

PREMIUM/DISCOUNT

 
13 

FACE VALUE (REAIS)

10,000.00 
14 

AMOUNT ISSUED (IN THOUSANDS OF REAIS)

430,000 
15 

NUMBER OF DEBENTURES ISSUED (UNITS)

43,000 
16 

DEBENTURES IN CIRCULATION (UNITS)

43,000 
17 

DEBENTURES IN TREASURY (UNITS)

18 

DEBENTURES REDEEMED (UNITS)

19 

DEBENTURES CONVERTED (UNITS)

20 

DEBENTURES FOR PLACEMENT (UNITS)

21 

DATE OF THE LAST REPRICING

 
22 

DATE OF THE NEXT EVENT

AUGUST 15, 2006

 

119


01  ITEM  02 
02  ISSUANCE ORDER NUMBER 
03  CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/035 
04  DATE OF REGISTRATION WITH CVM  AUGUST 30, 2002 
05  DEBENTURE SERIES ISSUED 
06  TYPE  SIMPLE 
07  NATURE  PUBLIC 
08  ISSUE DATE  AUGUST 1, 2002 
09  DUE DATE  AUGUST 1, 2012 
10  TYPE OF DEBENTURE  VARIABLE 
11  CURRENT REMUNERATION TERMS  IGPM plus 11% per year 
12  PREMIUM/DISCOUNT   
13  FACE VALUE (REAIS) 1.000.00 
14  AMOUNT ISSUED (IN THOUSANDS OF REAIS) 750.000 
15  NUMBER OF DEBENTURES ISSUED (UNITS) 750.000 
16  DEBENTURES IN CIRCULATION (UNITS) 750.000 
17  DEBENTURES IN TREASURY (UNITS)
18  DEBENTURES REDEEMED (UNITS)
19  DEBENTURES CONVERTED (UNITS)
20  DEBENTURES FOR PLACEMENT (UNITS)
21  DATE OF THE LAST REPRICING   
22  DATE OF THE NEXT EVENT  JULY 31, 2006 

120


01  ITEM  03 
02  ISSUANCE ORDER NUMBER 
03  CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04  DATE OF REGISTRATION WITH CVM  OCTOBER 31, 2002 
05  DEBENTURE SERIES ISSUED 
06  TYPE  SIMPLE 
07  NATURE  PUBLIC 
08  ISSUE DATE  OCTOBER 4, 2002 
09  DUE DATE  OCTOBER 1, 2010 
10  TYPE OF DEBENTURE  VARIABLE 
11  CURRENT REMUNERATION TERMS  IGPM plus 10.3% per year 
12  PREMIUM/DISCOUNT   
13  FACE VALUE (REAIS) 1,000.00 
14  AMOUNT ISSUED (IN THOUSANDS OF REAIS) 775,000 
15  NUMBER OF DEBENTURES ISSUED (UNITS) 775,000 
16  DEBENTURES IN CIRCULATION (UNITS) 775,000 
17  DEBENTURES IN TREASURY (UNITS)
18  DEBENTURES REDEEMED (UNITS)
19  DEBENTURES CONVERTED (UNITS)
20  DEBENTURES FOR PLACEMENT (UNITS)
21  DATE OF THE LAST REPRICING   
22  DATE OF THE NEXT EVENT  OCTOBER 1, 2006 

121




 

This excerpt taken from the PBR 6-K filed Aug 19, 2005.

10.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES

01         ITEM  01 
02         ISSUANCE ORDER NUMBER 
03         CVM REGISTRATION NUMBER   
04         DATE OF REGISTRATION WITH CVM   
05         DEBENTURE SERIES ISSUED 
06         TYPE  SIMPLE 
07         NATURE  PRIVATE 
08         ISSUE DATE  FEBRUARY 15, 1998 
09         DUE DATE  FEBRUARY 15, 2015 
10         TYPE OF DEBENTURE  VARIABLE 
11         CURRENT REMUNERATION TERMS  TJLP plus 2.5% 
12         PREMIUM/DISCOUNT   
13         FACE VALUE (REAIS) 10.000,00 
14         AMOUNT ISSUED (IN THOUSANDS OF REAIS) 430.000 
15         NUMBER OF DEBENTURES ISSUED (UNITS) 43.000 
16         DEBENTURES IN CIRCULATION (UNITS) 43.000 
17         DEBENTURES IN TREASURY (UNITS)
18         DEBENTURES REDEEMED (UNITS)
19         DEBENTURES CONVERTED (UNITS)
20         DEBENTURES FOR PLACEMENT (UNITS)
21         DATE OF THE LAST REPRICING   
22         DATE OF THE NEXT EVENT  AUGUST 15, 2005 

108


01         ITEM  02 
02         ISSUANCE ORDER NUMBER 
03         CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/035 
04         DATE OF REGISTRATION WITH CVM  AUGUST 30, 2002 
05         DEBENTURE SERIES ISSUED 
06         TYPE  SIMPLE 
07         NATURE  PUBLIC 
08         ISSUE DATE  AUGUST 1, 2002 
09         DUE DATE  AUGUST 1, 2012 
10         TYPE OF DEBENTURE  VARIABLE 
11         CURRENT REMUNERATION TERMS  IGPM plus 11% per year 
12         PREMIUM/DISCOUNT   
13         FACE VALUE (REAIS) 1.000,00 
14         AMOUNT ISSUED (IN THOUSANDS OF REAIS) 750.000 
15         NUMBER OF DEBENTURES ISSUED (UNITS) 750.000 
16         DEBENTURES IN CIRCULATION (UNITS) 750.000 
17         DEBENTURES IN TREASURY (UNITS)
18         DEBENTURES REDEEMED (UNITS)
19         DEBENTURES CONVERTED (UNITS)
20         DEBENTURES FOR PLACEMENT (UNITS)
21         DATE OF THE LAST REPRICING   
22         DATE OF THE NEXT EVENT  AUGUST 1, 2005 

109


01         ITEM  03 
02         ISSUANCE ORDER NUMBER 
03         CVM REGISTRATION NUMBER  CVM/SRE/DEB/2002/037 
04         DATE OF REGISTRATION WITH CVM  OCTOBER 31, 2002 
05         DEBENTURE SERIES ISSUED 
06         TYPE  SIMPLE 
07         NATURE  PUBLIC 
08         ISSUE DATE  OCTOBER 4, 2002 
09         DUE DATE  OCTOBER 1, 2010 
10         TYPE OF DEBENTURE  VARIABLE 
11         CURRENT REMUNERATION TERMS  IGPM plus 10.3% per year 
12         PREMIUM/DISCOUNT   
13         FACE VALUE (REAIS) 1.000,00 
14         AMOUNT ISSUED (IN THOUSANDS OF REAIS) 775.000 
15         NUMBER OF DEBENTURES ISSUED (UNITS) 775.000 
16         DEBENTURES IN CIRCULATION (UNITS) 775.000 
17         DEBENTURES IN TREASURY (UNITS)
18         DEBENTURES REDEEMED (UNITS)
19         DEBENTURES CONVERTED (UNITS)
20         DEBENTURES FOR PLACEMENT (UNITS)
21         DATE OF THE LAST REPRICING   
22         DATE OF THE NEXT EVENT  OCTOBER 1, 2005 

110


"14.01 - CHARACTERISTICS OF THE PUBLIC OR PRIVATE ISSUE OF DEBENTURES" elsewhere:

CPFL Energy INC (CPL)
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