Long-term bank loan of PLN 13,000,000 with repayment from 2027 to 2038
Long-term bank loan of PLN 13,000,000.00: repayment period from 2027 to 2038, for financing the repayment of previously incurred obligations amounting to PLN 5,955,000.00 and financing a planned deficit of PLN 7,045,000.00. Planned credit activation on 02.11.2026. Offer valuation is based on WIBOR 3M from 07.07.2026, which is 3.82 % p.a. An option to increase or decrease the scope by 25 % of the PLN 13,000,000.00 is reserved. Further details are in the tender documents (OPZ Sekcja B SWZ).
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Tender documents
- Portal — LOT-0001NON-RESTRICTED-DOCUMENT
- TED HTML — 567565-2026HTML
- TED PDF — 567565-2026PDF
- TED XML — 567565-2026XML
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