Updated Mar 23, 2026 by PCF Group
PCF Group S.A. incurred total costs of 6,327 thousand PLN for the Series B share subscription and partial Series A share sale conducted between 2020 and 2021.
The total issuance costs comprised 4,180 thousand PLN for offer preparation and execution, 2,071 thousand PLN for prospectus and advisory services, and 76 thousand PLN for promotional expenses.
The average cost per security issued or sold during the offering process was 1.53 PLN.
In 2020, PCF Group recorded 2,235 thousand PLN in costs, split between 1,067 thousand PLN charged to capital reserves and 1,168 thousand PLN expensed operationally.
In 2021, the company recorded 4,092 thousand PLN in costs, with 2,052 thousand PLN reducing the capital reserve and 2,040 thousand PLN expensed operationally.
The share issuance process involved no sub-emitter fees, and the financial reporting was prepared in accordance with Polish regulatory requirements.
PCF Group S.A. incurred total costs of 6,327 thousand PLN for the Series B share subscription and partial Series A share sale conducted between 2020 and 2021.
The total issuance costs comprised 4,180 thousand PLN for offer preparation and execution, 2,071 thousand PLN for prospectus and advisory services, and 76 thousand PLN for promotional expenses.
The average cost per security issued or sold during the offering process was 1.53 PLN.
In 2020, PCF Group recorded 2,235 thousand PLN in costs, split between 1,067 thousand PLN charged to capital reserves and 1,168 thousand PLN expensed operationally.
In 2021, the company recorded 4,092 thousand PLN in costs, with 2,052 thousand PLN reducing the capital reserve and 2,040 thousand PLN expensed operationally.
The share issuance process involved no sub-emitter fees, and the financial reporting was prepared in accordance with Polish regulatory requirements.