ORCO PROPERTY GROUP | Prospectuses
Prospectuses
Registration document 21.05.2008
Orco Property Group – Exchange offer of Outstanding Warrants – October 2007
Summary of terms & conditions of warrant 2014
Exchange offer by Orco Property Group S.A. for all issued and outstanding Warrants ORCBR 2012 (listed on the Eurolist Market by Euronext Paris since November 22, 2005 under ISIN code: LU0234878881, issued by Orco Property Group S.A. under the bonds with redeemable warrants attached issue on November 18, 2005 pursuant to a prospectus approved by the CSSF on November 15, 2005), each holder of Warrants ORCBR 2012 being entitled to elect to receive, in lieu of 3 Warrants ORCBR 2012, 1 New Share and 3 New Warrants ORCOW 2014 (the “Offer”);
As a result of the Offer, issue of up to 1,099,095 New Warrants ORCOW 2014 (fungible with the Existing Warrants ORCOW 2014 listed on the Eurolist Market by Euronext Brussels since April 10, 2007 under ISIN code : XS0290764728 and issued by Orco Property Group S.A. under the bonds with redeemable warrants attached issue on March 28, 2007 pursuant to a prospectus approved by the CSSF on March 22, 2007) and up to 366,365 New Shares (to be listed on the Eurolist Market by Euronext Paris, on the main market of the Prague Stock Exchange, on the main market of the Warsaw Stock Exchange and on the regulated market of the Budapest Stock Exchange under ISIN code: LU0122624777) (the “Issue”);
Admission to trading of the New Warrants ORCOW 2014 to be issued as a result of the Offer on the Eurolist Market by Euronext Brussels, admission to trading of the Existing and New Warrants ORCOW 2014 on the Eurolist Market by Euronext Paris, admission to trading of the New Shares to be issued as a result of the Offer on the Eurolist Market by Euronext Paris, on the main market of the Prague Stock Exchange, on the main market of the Warsaw Stock Exchange and on the regulated market of the Budapest Stock Exchange.
ISIN LU0234878881
ISIN XS0290764728
| Prospectus (English) |
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| Prospectus summary (Czech) |
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| Prospectus summary (Polish) |
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| Prospectus summary (Hungarian) |
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| Registration document (English) |
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| Registration document (French) |
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| Announcement of exchange offer (English) |
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| Results of exchange offer (English) |
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Orco Property Group - Capital Increase, June 2007
Offering for subscription of 1 304 348 new shares (plus an optional over-allotment of up to 195 652 new shares) at an offer price of 115 EUR per share
Admission to listing and trading of the shares on the main market of Warsaw Stock Exchange and Budapest Stock Exchange and admission to trading of the new shares on Eurolist by Euronext Paris and on the main market of Prague Stock Exchange
ISIN LU0122624777
Common Code 012262477
| Prospectus (English) |
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| Prospectus summary (French) |
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| Prospectus summary (Czech) |
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| Prospectus summary (Polish) |
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| Prospectus summary (Hungarian) |
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| Announcement of capital increase (English) |
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| Results of capital increase (English) |
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| Announcement of over allotment option (English) |
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Orco Property Group - Bond with Warrants, March 2007 – March 2014
Issue of EUR 175 000 461.60 seven year bonds with redeemable warrants attached
Bond ISIN XS0291838992 Common code 029183899
Warrant ISIN XS0290764728 Common code 029076472
Bond Cum. Warrants ISIN XS0291840626 Common code 029184062
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| Prospectus (French) |
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| Bond issue results (English) |
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Orco Property Group - Convertible Bond, June 2006 – June 2013
Issue of a convertible bond in a nominal amount of EUR 149 999 928 without preferential subscription rights.
ISIN FR0010333302
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| Supplement (English) |
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| Prospectus summary (English) |
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| Prospectus summary (French) |
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| Announcement of bond issue (English) |
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| Announcement of bond issue (French) |
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| Results of bond issue (English) |
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| Results of bond issue (French) |
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Orco Property Group - Bond with Warrants, November 2005 – November 2012
Issue of a loan represented by 73.273 Bonds with Redeemable Share Subscription Warrants in a nominal amount of 50.272.605,30€ without preferential subscription rights.
ISIN LU0234878881
| Prospectus (English) |
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| Prospectus summary (French) |
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| Announcement of bond issue (French) |
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Orco Property Group - Czech Bond Issue, January 2006 – February 2011
Issue of CZK 1 500 000 000 floating rate bonds, listed on Prague Stock Exchange
ISIN CZ0000000195
| Prospectus (English) |
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| Appendix 1 (English) |
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| Appendix 2 (English) |
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| Appendix 3 (English) |
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| Appendix 4 (English) |
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| Disclaimer (Czech) |
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| Announcement of bond issue (English) |
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| Announcement of bond issue (French) |
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Orco Property Group - Step-up Equity Program (PACEO), March 2005
Operation note made available to the public upon the admission of trading with Eurolist market of the Paris Stock Exchange for a maximum of 1 000 000 Orco Group Shares which may result in the execution of commitments made by Societe Generale on 1 000 000 stock warrants on which it is the exclusive issuer
ISIN LU0122624777
Common Code 012262477
| Prospectus (English) |
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| Announcement of PACEO (English) |
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| Announcement of PACEO (French) |
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| PACEO share issue, May 2005 (English) |
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| PACEO share issue, May 2005 (French) |
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| PACEO share issue, July 2005 (English) |
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| PACEO share issue, July 2005 (French) |
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| PACEO share issue, September 2005 (English) |
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| PACEO share issue, September 2005 (French) |
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| PACEO share issue, November 2005 (English) |
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| PACEO share issue, November 2005 (French) |
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| PACEO share issue, January 2006 (English) |
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| PACEO share issue, May 2006 (English) |
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| PACEO share issue, May 2006 (French) |
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Orco Property Group - Listing on Prague Stock Exchange, January 2005
Admission of the issue of existing ordinary shares ISIN LU0122624777 and convertible bonds ISIN FR0010108704 for the purposes of trading on the primary market of the Prague Stock Exchange
ISIN LU0122624777
ISIN FR0010108704
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| Announcement of PSE listing (English) |
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| Announcement of PSE listing (French) |
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Orco Property Group - Convertible Bond, September 2004 – September 2011
(Bond already expercised in March 2007 through Issuer’s call)
Issue of EUR 30 000 002.40 convertible bonds, with an option to increase the nominal amount up to EUR 34 499 973.60
ISIN FR0010108704
Exchangeable bond into Hvar shares 2012, December 2005 – June 2012
€ 24,169,193.39 5.5 per cent. Convertible Bonds due 2012 (the "Bonds") Issue price: 100 per cent. Represented by 928.513 bonds of 26.03 EUR eachThe Bonds will mature on 30 June 2012. Interests will be paid annually.
XS0223586420
| Prospectus (English) |
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| Announcement of bond offer (English) |
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| Announcement of bond offer (French) |
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Orco Property Group – Initial Public Offering and Listing of Paris on Stock Exchange, December 2000
Introduction price: 17 EUR/ share; capital raised 10.2 Mn EUR
ISIN LU0122624777
| Prospectus (French) |
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| Preliminary prospectus (French) |
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To access Orco Germany SA propectuses, please follow this link:
http://www.orcogermany.de/1792.html
To access Suncani Hvar prospectus, please consult the website of Zagreb Stock Exchange at http://www.zse.hr