Quote:

Closing Price €
Change €
0.000
TWAP €
No. of Trades
Day's High €
Change (%)
nan%
Day's Low €
Turnover (shares)
0
E.P.S €
0.000
Shares in issue (000)
0
P/E Ratio (times)
0
Market Cap. (€000)
0
Net Div. Yield (%)
0
Net Dividend €
0.000
NAV per Share €
0.000
Indicative Div. Date
Price to NAV (times)
0
Dividend Cover (times)
0.000
2026 Closing High €
0.000
2026 Closing Low €
0.000
Property Development

5.75% Plan Group plc_Secured Bonds 2028

PLAN Group plc is the holding and financing company of the PLAN Group which operates in both the Property Development and Care industries.
Shares in issue
Nominal Value Nominal value per share as registered with the exchange.
Trading Symbol Ticker symbol used for trading on the market.
ISIN International Securities Identification Number (ISIN).
MT0002771203
Listing Market segment on which the security is listed.
Official List
Property Development
PLAN Group plc is the holding and financing company of the PLAN Group which operates in both the Property Development and Care industries.
Amount Outstanding
€ 12,000,000
Trading Symbol
PL28A
ISIN
MT0002771203
Sector
Property Development
Listing
Official List
Redemption Date
23/11/2028
Minimum Denomination
€100
Minimum Increment
€100
Complex
No
Interest Payment Date(s)

23 November

XD Date(s)

8 November

BRRD
No

Quote:

Updated: 15 Jul 2026
Last Traded Price
101.90
Change
0.00
Yield to Maturity
4.86%
No. of Trades
0
Turnover
0
Value Traded
€ 0.00
Day High
N/A
Day Low
N/A
TWAP
N/A
2026 Closing High
102.50
2026 Closing Low
100.00