
Bond 8 (E2025)
The bonds are offered to investors in the following countries:
Austria
Germany
Belgium
Italy
Estonia
Lithuania
Luxemburg
Netherlands
Finland
Switzerland
France
Latvia
investment contribution
Starting at 100,000 EUR/CHF one-time
interest
8% p.a.
Termn
until 31.12.2030
Securities account
No
Yes
Angebotsfrist abgelaufen!
Ende der Angebotsfrist:
Offers & Terms
Asset type
Bearer bonds under German law (bond/obligation)
Interest payment
On a quarterly basis, 2%
ISIN-Number
EUR: DE000A4ED875
CHF: DE000A4ED867
repayment
after expiry of the term
Offer period
until 13.07.2026
Processing fee
none
graduation
1000
Issuer
VMT Bond GmbH
Downloads
Base Prospectus E2025
Final Terms Bond 8 CHF
Final Terms Bond 8 EUR
Vertriebsinformation (nur Schweiz)
Informazioni di vendita (solo Svizzera)
Informations commerciales (uniquement en Suisse)
Supplement No. 1 as of 10/10/2025
Supplement No. 2 as of 05/02/2026
FAQs
What are the risks?
Risk Disclosure: This bond involves significant risks, including the risk of full loss of invested capital. The solvency of the issuer and the lack of a regulated trading venue may adversely affect the redemption and saleability of the bond. Investors should consider whether they are prepared to take on these risks. Detailed risk information is contained in the base prospectus dated 11.07.2025, pages 10-24.
How high are the processing fees?
There are no processing fees.
Where is the investment capital invested?
Purchase and sale of real estate Corporate participation in real estate projects
How long is the contract?
Bond 6 (E2025)/Bond 8 (E2025): 31.12.2030
How high are the interest rates?
Bond 6 (E2025): 6% p.a.
Bond 8 (E2025): 8% p.a.
Payment is made on a quarterly basis.
When can the contract be terminated?
The contract automatically ends at the end of the contract period.
What happens to the contract in the event of death?
In the event of death, the contract is transferred to the heir (s) with all rights and obligations. The legal succession regulations of the investor's respective country of origin apply.
From what amount can you invest?
Bond 6 (E2025): from 5,000 EUR/CHF one-time
Bond 8 (E2025): from 100,000 EUR/CHF one-time
What does bearer bond mean?
The bond, also known as a bond, is a top-tier security for which the investor receives interest. A bond is divided into partial bonds with a nominal amount specified in each case. With a bond, the investor transfers a specific amount to the issuer of the bond for a certain period of time. The issuer of the bond, in turn, undertakes to you, as the creditor of the monetary claim, to repay the debt at the end of the term. In addition, he must pay interest on the amount at a fixed rate on an ongoing basis.
Which tax aspects need to be considered?
Interest income is generally subject to capital gains tax. The tax treatment depends on the investor's personal circumstances and may be subject to changes in the future. It is recommended that you seek tax advice. Each customer is responsible for paying tax on the interest received. You can find out more about this in our sales brochure and from your tax advisor.
What obligations are there?
By concluding the contract, the customer undertakes to pay the agreed contract amount in due time. In return, the issuer approves the payment of interest and the repayment of capital at the end of the contract period.