Investor Kit

Stock Quote

Latest Presentation

Annual Report

(*) Information available in Spanish only

Quarterly Report

Upcoming Event

Corporate Notes

Grupo Supervielle - Global Corporate Notes

Series Date of issuance Currency Amount outstanding as of issuance date Amount outstanding as of present Rate Maturity
Series XIII January 31, 2014 Pesos 23,100,000 23,100,000 Floating + 6.25% (BADLAR -Private Banks) BulletJan 31, 2019

Banco Supervielle - Foreign currency denominated Subordinated Notes

Series Date of issuance Currency Amount outstanding as of issuance date Amount outstanding as of present Rate Maturity
Series I November 11, 2010 Dollar 50,000,000 50,000,000 11.375% BulletNovember 11, 2017
Series III August 20, 2013 Dollar 22,500,000 22,500,000 7% BulletAugust 20, 2020
Series IV November 18, 2014 Dollar 13,400,000 13,400,400 7% BulletNovember 18, 2021

Banco Supervielle–AR$ Notes

Series VI October 12, 2016 Pesos 422,000,000 422,000,000 Floating + 3.5% (BADLAR -Private Banks) October 12, 2018
Series VII May 14, 2015 Pesos 11,578,947 11,578,947 Floating + 5% (BADLAR - Private Banks) November 14, 2016

Global Medium term Note

Series Date of issuance Currency Amount outstanding as of issuance date Amount outstanding as of present Rate Maturity
Class A February 9, 2017 Pesos U$S300 million in AR$ equivalent U$S300 million in AR$ equivalent Floating + 4.5% (BADLAR - Private Banks) August 9, 2017

CCF - Notes

Series Date of issuance Currency Amount outstanding as of issuance date Amount outstanding as of present Rate Maturity
Series IX October 6, 2015 Pesos 88,750,000 88,750,000 Mixed. Fixed 27% and Floating + 5.95 (BADLAR - Private Banks) April 6, 2017
Series X May 19, 2016 Pesos 199,000,000 199,000,000 Floating + 5.5% November 19, 2017
Series XI October 25, 2016 Pesos 200,000,000 200,000,000 Floating + 3.57% (BADLAR -Private Banks) April 25, 2018