Total realised net profit or loss (net of buy/sell fees) made on all closed positions (Bonds that have been bought and subsequently sold). These do not include any Interest or bonus received by the bondholder on the interest payment date.
Regulation of the Loan
defines the terms of the loan, the method and timing of the Interest payment and of the Reimbursement.
Repayment of the Nominal Value (€100) of each Bond by the Issuer to the investors; it occurs on Maturity of the Bond or earlier in the event of sale of the player.