Securities information as of: 31.10.2025 21:42
| ISIN | SK1000025843 | 
| Short name of the security (FISN) | CBCLI/REGSH VTG FPD EUR0.01 | 
| Long name of the security | CB CLINIC j. s. a. | 
| CFI | ESVTFR | 
| Nominal value | 0,01 | 
| Denomination currency | EUR | 
| Settlement in | Units | 
| Minimum amount* | 1 | 
| Minimum multiplier* | 1 | 
| Total number of securities for ISIN* | 10 000 | 
| Amount of securities on accounts* | 10 000 | 
| Amount of securities returned* | 0 | 
| Bearer/registered | Registered | 
| Type of security | ordinary share JSA | 
| Form of security | Book-entry securities | 
| Negotiability of the issue | Transfer with issuer's consent only | 
| Public negotiability of securities issue | Security is not traded on the stock exchange | 
| Date of issuance | 28.11.2022 | 
| Registration date | 28.11.2022 | 
| Expiration/Maturity date | |
| Deletion date | |
| Issuer depository | CSDSSKBAXXX | 
| Issuer country | SK | 
| Suspension of right to dispose of the securities issue | 
* The amount is displayed in the units listed in the item "Settlement in the unit" in the issue detail.
| Issuer name | CB CLINIC j. s. a. | 
| Issuer Company Id | 54546931 | 
| Issuer´s seat | Staromestská 3, 811 03 Bratislava-mestská časť Staré Mesto, SK | 
| Issuer LEI | 097900CAKA0000111525 | 
 
								