Brak raportów w tym okresie
Brak raportów w tym okresie
11.05.2023 (2/2023)
2/2023 – Early full redemption of series K bonds at the Issuer’s request (ESPI)21.04.2023 (1/2023)
1/2023 – Early redemption of series K bonds (ESPI)25.05.2022 (18/2022)
18/2022 – Withdrawal of the Company’s shares from trading on the regulated market18.05.2022 (17/2022)
17/2022 – Filing an application to withdraw the Company’s shares from trading […]16.05.2022 (16/2022)
16/2022 – Getting information about the decision issued by the Polish Financial Supervision Authority […]09.04.2022 (15/2022)
15/2022 – Submission of an application to withdraw the Company’s shares from trading on the regulated market of the Warsaw Stock Exchange09.04.2022 (14/2022)
14/2022 – Content of the resolutions adopted by the Extraordinary General Meeting on April 8, 202209.04.2022 (13/2022)
13/2022 – Receipt by the Company of a request to convene an Extraordinary General Meeting […]07.04.2022 (12/2022)
12/2022 – Allocation of series O bonds31.03.2022 (11/2022)
11/2022 – Subject of the Notification of a change in the share in the total number of votes31.03.2022 (10/2022)
10/2022 – Notification of a transaction pursuant to Art. 19 paragraph 1 MAR31.03.2022 (9/2022)
9/2022 – Subject of the Notification of a change in the share in the total number of votes26.03.2022 (8/2022)
8/2022 – Announcement of the intention to acquire shares by compulsory buyout01.03.2022 (7/2022)
7/2022 – Designation of the first day of listing of series L and M bonds on Catalyst01.03.2022 (6/2022)
6/2022 – Completion of the tender offer to subscribe for the sale of shares in i2 Development S.A.01.03.2022 (5/2022)
5/2022 – Notification of a transaction pursuant to Art. 19 paragraph 1 MAR01.03.2022 (4/2022)
4/2022 – Notifications about a change in the share in the total number of votes by at least 1% by the parties to the agreement24.02.2022 (3/2022)
3/2022 – Introduction of series L and M bonds to the alternative trading system on Catalyst28.01.2022 (2/2022)
2/2022 – Dates of publication of periodic reports in 202230.12.2021 (30/2021)
30/2021 – Subject of the Notification of a change in the share in the total number of votes as a result of concluding an agreement […]30.12.2021 (29/2021)
29/2021 – Information on the conclusion of the agreement referred to in Art. 87 sec. 1 point 5 of the Act on Offer29.12.2021 (28/2021)
28/2021 – Notification of a transaction pursuant to Art. 19 paragraph 1 MAR29.12.2021 (27/2021)
27/2021 – Receipt by the Company of the notification on the change of the share in the total number of votes at the general meeting of the Company29.12.2021 (26/2021)
26/2021 – Receipt by the Company of a notification on a change in the share in the total number of votes at the general meeting of the Company […]26.11.2021 (25/2021)
25/2021 – Correction of the periodic report for the third quarter of 202101.10.2021 (24/2021)
24/2021 – Notification on exceeding the threshold of 5% of the total number of votes in the Company04.09.2021 (23/2021)
23/2021 – Notification of a transaction on the Issuer’s shares04.09.2021 (22/2021)
22/2021 – Notification of shareholders about a change in ownership01.09.2021 (21/2021)
21/2021 – Redemption of series J bonds16.08.2021 (20/2021)
20/2021 – Allocation of series N bonds27.07.2021 (19/2021)
19/2021 – Completion of the purchase of own bonds, resolution of the National Depository for Securities on the withdrawal from the deposit of bonds in connection with their redemption01.07.2021 (18/2021)
18/2021 – Early redemption of series H bonds24.06.2021 (17/2021)
17/2021 – List of shareholders holding at least 5% of the number of votes at the Ordinary General Meeting of Shareholders i2 Development S.A. on June 24, 2021.24.06.2021 (16/2021)
16/2021 – Appointment of Members of the Supervisory Board of i2 Development S.A.24.06.2021 (15/2021)
15/2021 – Resolutions adopted by the Ordinary General Meeting of Shareholders i2 Development S.A. on June 24, 202123.06.2021 (14/2021)
14/2021 – Signing a significant loan agreement with Aion Bank SA / NV18.06.2021 (13/2021)
13/2021 – Opinion of the Supervisory Board of i2 Development S.A. regarding the method of covering the loss for 202017.06.2021 (12/2021)
12/2021 – Purchase of own bonds for redemption27.05.2021 (11/2021)
11/2021 – Announcement on convening the Annual General Meeting of i2 Development S.A. along with draft resolutions27.05.2021 (10/2021)
10/2021 – Recommendation of the Management Board of i2 Development S.A. regarding coverage of loss for 202019.04.2021 (9/2021)
9/2021 – Allocation of series M bonds17.03.2021 (8/2021)
8/2021 – Allocation of series L bonds05.03.2021 (7/2021)
7/2021 – Appointment of the Company’s Management Board for a new term of office02.03.2021 (6/2021)
6/2021 – Partial, early redemption of series J bonds12.02.2021 (5/2021)
5/2021 – Early redemption of series J bonds – update25.01.2021 (3/2021)
3/2021 – J and K series bonds entered the alternative trading system on Catalyst.19.01.2021 (2/2021)
2/2021 – Subject: Dates of publication of periodic reports in 2021 – correction18.01.2021 (1/2021)
1/2021 – Dates of publication of periodic reports in 202120.11.2020 (59/2020)
59/2020 – Partial, early redemption of series H bonds27.10.2020 (58/2020)
58/2020 – Resolution of the National Depository for Securities regarding the withdrawal of bonds in connection with their redemption29.09.2020 (56/2020)
56/2020 – F series bonds early redemption14.09.2020 (55/2020)
55/2020 – G series bonds early redemption01.09.2020 (54/2020)
54/2020 – End of purchase of own bonds, resolution of the National Depository for Securities regarding the withdrawal of bonds in connection with their redemption13.08.2020 (51/2020)
51/2020 – Issue, allocation and summary of the K series bond offer13.08.2020 (52/2020)
52/2020 – Resolution of the Management Board on the overall, early redemption of series F bonds13.08.2020 (53/2020)
53/2020 – Resolution of the Management Board on the overall, early redemption of series G bonds27.07.2020 (50/2020)
50/2020 – Purchase of own bonds for redemption24.07.2020 (49/2020)
49/2020 – Issue of series K bonds29.06.2020 (46/2020)
46/2020 – Purchase of own bonds for redemption29.06.2020 (47/2020)
47/2020 – Resolutions adopted by the Ordinary General Meeting of Shareholders i2 Development S.A. on June 29, 202029.06.2020 (48/2020)
48/2020 – List of shareholders holding at least 5% of the number of votes at the Ordinary General Meeting of Shareholders i2 Development S.A. on June 29, 2020.23.06.2020 (44/2020)
44/2020 – Resolution of the Management Board of i2 Development S.A. on the settlement of part of issued series J bonds09.06.2020 (43/2020)
43/2020 – Announcement on a change in the agenda of the Annual General Meeting of i2 Development S.A. along with draft resolutions.08.06.2020 (42/2020)
42/2020 – Purchase of own bonds for redemption02.06.2020 (40/2020)
40/2020 – Purchase of own bonds for redemption02.06.2020 (41/2020)
41/2020 – Notification of transaction on Issuer’s shares01.06.2020 (38/2020)
38/2020 – Recommendation of the Management Board of i2 Development S.A. regarding the distribution of profit for 201901.06.2020 (39/2020)
39/2020 – Announcement on convening the Annual General Meeting of i2 Development S.A. along with draft resolutions27.05.2020 (37/2020)
37/2020 – Change in the terms of issue of series I bonds27.05.2020 (57/2020)
57/2020 – I series bonds early redemption26.05.2020 (36/2020)
36/2020 – Selection of a new entity authorized to audit financial statements22.05.2020 (34/2020)
34/2020 – Notification of transaction on Issuer’s shares22.05.2020 (35/2020)
35/2020 – Purchase of own bonds for redemption18.05.2020 (33/2020)
33/2020 – Resolution of the National Depository for Securities regarding the withdrawal of bonds in connection with their redemption11.05.2020 (31/2020)
31/2020 – Purchase of own bonds for redemption11.05.2020 (32/2020)
32/2020 – Resolution of the Management Board of i2 Development S.A. on the redemption of series I own bonds07.05.2020 (29/2020)
29/2020 – Resolution of the Management Board of i2 Development S.A. on the purchase of series I own bonds07.05.2020 (30/2020)
30/2020 – Resolution of the National Depository for Securities regarding the withdrawal of bonds in connection with their redemption04.05.2020 (28/2020)
28/2020 – Resolution of the National Depository for Securities regarding the withdrawal of bonds in connection with their redemption23.04.2020 (26/2020)
26/2020 – Resolution of the National Depository for Securities regarding the withdrawal of bonds in connection with their redemption23.04.2020 (27/2020)
27/2020 – Resolution of the Management Board of i2 Development S.A. on the redemption of series I own bonds16.04.2020 (24/2020)
24/2020 – Resolution of the Management Board of i2 Development S.A. on the redemption of series I own bonds16.04.2020 (25/2020)
25/2020 – Resolution of the Management Board of i2 Development S.A. on the purchase of series I own bonds09.04.2020 (23/2020)
23/2020 – Resolution of the Management Board of i2 Development S.A. on the purchase of series I own bonds07.04.2020 (22/2020)
22/2020 – C series bonds repurchase31.03.2020 (21/2020)
21/2020 – Change in the terms of issue of series H bonds26.03.2020 (20/2020)
20/2020 – Impact of SARS-CoV-2 virus and COVID-19 disease on the activity and financial results of i2 Development S.A. and the i2 Development S.A. Capital Group20.03.2020 (19/2020)
19/2020 – Notification of transaction on Issuer’s shares19.03.2020 (18/2020)
18/2020 – Notification of transaction on Issuer’s shares18.03.2020 (17/2020)
17/2020 – Withdrawal of series F bonds in connection with their redemption05.03.2020 (16/2020)
16/2020 – Issue and allocation of series J bearer bonds and early, partial redemption of series C and F bonds28.02.2020 (15/2020)
15/2020 – Conclusion of the contract for the purchase of real estate by a company from the i2 Development S.A. capital group21.02.2020 (14/2020)
14/2020 – Partial, early redemption of series C bonds18.02.2020 (13/2020)
13/2020 – Estimated selected consolidated and separated financial information of i2 Development S.A. as at December 31, 201907.02.2020 (12/2020)
12/2020 – E series bonds repurchase29.01.2020 (10/2020)
10/2020 – Resolution of the National Depository for Securities regarding the withdrawal of bonds in connection with their redemption29.01.2020 (11/2020)
11/2020 – Dates of publication of periodic reports in 202020.01.2020 (8/2020)
8/2020 – Purchase of own bonds for redemption20.01.2020 (9/2020)
9/2020 – End of purchase of own bonds, resolution of the Management Board regarding redemption of bonds17.01.2020 (7/2020)
7/2020 – Purchase of own bonds for redemption16.01.2020 (6/2020)
6/2020 – Purchase of own bonds for redemption15.01.2020 (5/2020)
5/2020 – Purchase of own bonds for redemption14.01.2020 (4/2020)
4/2020 – Purchase of own bonds for redemption13.01.2020 (3/2020)
3/2020 – Purchase of own bonds for redemption10.01.2020 (2/2020)
2/2020 – Purchase of own bonds for redemption03.01.2020 (1/2020)
1/2020 – Purchase of own bonds for redemption30.12.2019 (63/2019)
63/2019 – Purchase of own bonds for redemption23.12.2019 (62/2019)
62/2019 – Purchase of own bonds for redemption20.12.2019 (60/2019)
60/2019 – Conclusion of the contract for the purchase of real estate by a company from the i2 Development S.A. capital group20.12.2019 (61/2019)
61/2019 – Partial redemption of series C bonds18.12.2019 (59/2019)
59/2019 – Resolution of the Management Board of i2 Development S.A. on the purchase of its own bonds18.12.2019 (58/2019)
58/2019 – Change of terms of the issue of series C bonds and the issue of series I bonds31.10.2019 (57/2019)
57/2019 – Change of date of conclusion of real estate purchase agreements08.10.2019 (56/2019)
56/2019 – D series bond repurchase01.10.2019 (55/2019)
55/2019 – First day of trading G series bonds in the alternative trading system on Catalyst25.09.2019 (54/2019)
54/2019 – Resolution of the National Depository for Securities regarding the withdrawal of bonds in connection with their redemption23.09.2019 (53/2019)
53/2019 – Resolution of the National Depository for Securities regarding the withdrawal of bonds in connection with their redemption17.09.2019 (52/2019)
52/2019 – Termination of the purchase of own bonds, Management Board resolution regarding the redemption of bonds13.09.2019 (51/2019)
51/2019 – Purchase of own bonds for redemption10.09.2019 (50/2019)
50/2019 – Purchase of own bonds for redemption09.09.2019 (49/2019)
49/2019 – Purchase of own bonds for redemption04.09.2019 (48/2019)
48/2019 – Purchase of own bonds for redemption02.09.2019 (46/2019/K)
46/2019/K – Correction of current report No. 46/2019 of 30.08.201902.09.2019 (47/2019)
47/2019 – Purchase of own bonds for redemption30.08.2019 (46/2019)
46/2019 – Purchase of own bonds for redemption29.08.2019 (45/2019)
45/2019 – Purchase of own bonds for redemption27.08.2019 (44/2019)
44/2019 – Purchase of own bonds for redemption26.08.2019 (43/2019)
43/2019 – Purchase of own bonds for redemption22.08.2019 (42/2019)
42/2019 – Purchase of own bonds for redemption21.08.2019 (41/2019)
41/2019 – Purchase of own bonds for redemption20.08.2019 (40/2019)
40/2019 – Purchase of own bonds for redemption16.08.2019 (39/2019)
39/2019 – Purchase of own bonds for redemption13.08.2019 (38/2019)
38/2019 – Resolution of the Management Board of i2 Development S.A. regarding the purchase of its own bonds31.07.2019 (37/2019)
37/2019 – B series bond repurchase15.07.2019 (36/2019)
36/2019 – Resolution of the National Depository for Securities regarding the withdrawal of bonds in connection with their redemption05.07.2019 (35/2019)
35/2019 – Change of the Chairman of the Supervisory Board, appointment of the Audit Committee01.07.2019 (34/2019)
34/2019 – Termination of the purchase of own bonds, Management Board resolution regarding the redemption of bonds28.06.2019 (33/2019)
33/2019 – Purchase of own bonds for redemption27.06.2019 (32/2019)
32/2019 – Purchase of own bonds for redemption26.06.2019 (30/2019)
30/2019 – Purchase of own bonds for redemption26.06.2019 (31/2019)
31/2019 – Responses to shareholders’ questions provided in the mode of art. 428 § 5 and § 6 of Commercial Companies Code25.06.2019 (29/2019)
29/2019 – Purchase of own bonds for redemption24.06.2019 (26/2019)
26/2019 – Notification of transaction on Issuer’s shares24.06.2019 (27/2019)
27/2019 – Purchase of own bonds for redemption24.06.2019 (28/2019)
28/2019 – Notification of transaction on Issuer’s shares21.06.2019 (25/2019)
25/2019 – Purchase of own bonds for redemption19.06.2019 (22/2019)
22/2019 – Conclusion of an agreement terminating the investment agreement concluded with YIT19.06.2019 (23/2019)
23/2019 – Completion of the review of strategic options and update of the Company’s development strategy19.06.2019 (24/2019)
24/2019 – Purchase of own bonds for redemption18.06.2019 (21/2019)
21/2019 – Purchase of own bonds for redemption14.06.2019 (20/2019)
20/2019 – Purchase of own bonds for redemption13.06.2019 (19/2019)
19/2019 – Purchase of own bonds for redemption12.06.2019 (16/2019)
16/2019 – Resolutions adopted by the Ordinary General Meeting of Shareholders i2 Development S.A. on June 12, 201912.06.2019 (17/2019)
17/2019 – Approval of the appointment of the members of the Supervisory Board of i2 Development S.A.12.06.2019 (18/2019)
18/2019 – List of shareholders holding at least 5% of the number of votes at the Ordinary General Meeting of Shareholders i2 Development S.A. on June 12, 2019.11.06.2019 (14/2019)
14/2019 – Opinion of the Supervisory Board of i2 Development S.A. regarding the method of covering the loss for 201811.06.2019 (15/2019)
15/2019 – Purchase of own bonds for redemption10.06.2019 (13/2019)
13/2019 – Purchase of own bonds for redemption07.06.2019 (12/2019)
12/2019 – Purchase of own bonds for redemption06.06.2019 (10/2019)
10/2019 – Resolution of the Management Board of i2 Development S.A. regarding the purchase of its own bonds06.06.2019 (11/2019)
11/2019 – Purchase of own bonds for redemption03.06.2019 (9/2019)
9/2019 – Joining the Company to the Liquidity Support ProgramBrak raportów w tym okresie
Brak raportów w tym okresie
Brak raportów w tym okresie