.
EmpresaServicios al Cliente Seguridad Vial Relacion con Inversores Proveedores Recursos Humanos Contactenos Novedades Ayuda
   
4 3
  Debt  
2 1
   
4 3
  Outstanding Debt  
     
 
Description Currency   Amount Outstanding
(U$S mm)
  Final Maturity   Coupon   Amortization
2014 Notes  

U$S

  3.8   Jun-14   3.50 %
5.00 %
  6.25% S/A
in 2010 - 2013;
50 % in 2014
2017 Notes  

U$S

  4.6   May-17   11.5%   Annual, Beginning
in 2012
2020 Notes  

U$S

  95.8   Jun-20   4.00% - 8.25%   12.5% S/A in 2017-2019; 25.0% in 2020
2015 Notes  

AR$

  327.6   Jun-15   BADLAR + 1.00%   2.0% in 2011; 25.0% in 2012-2014; 23.0% in 2015
                     
 
   
2 1
   
 

Press Releases

   
October 4, 2010.
August 11, 2010.
August 09, 2010.
August 02, 2010.
July 16, 2010.
June 18, 2010 (2).
June 18, 2010 (1).
May 20, 2010.
April 21, 2010.
March 23 2010.
March 9, 2010.
March 4, 2010.
February 11, 2010.
January 12, 2010.
July 02, 2009.
June 26, 2009.
June 16, 2009.
May 15, 2009.