For Investors

Investor Relations

Information Center for Investors, Bondholders, and Financial Partners of 7R S.A. We publish interim reports, financial statements, corporate documents, and information regarding bonds and the financing of the 7R Group’s operations.

PLN 1.67 billion

The Group's total assets as of December 31, 2025

761 million PLN

the Group's equity

3 series

bonds issued in 2025

2028

Maturity date for Series A, B, and C bonds

Reports and statements

Interim reports, financial statements, and documents relating to the operations of 7R S.A. and the 7R Capital Group.

7R Bonds

Information on bond issuances, maturity dates, financing, and documents related to debt instruments.

Corporate documents

Registration details, ownership structure, information about the company's governing bodies, and documents for investors.

For Investors

Invest in 7R

7R has been consistently expanding its presence in the capital markets. In 2025, the Company established a green bond issuance program, the value of which was subsequently increased to 120 million EUR or the equivalent of that amount in PLN. As of the Prospectus Date, 7R had issued bonds under this program with a value of approximately 92 million EUR.

In 2026, 7R took another step forward by establishing its First Public Bond Issuance Program with a value of up to 350 million PLN or the equivalent of that amount in EUR. The program prospectus was approved by the Polish Financial Supervision Authority on September 11, 2026. The offering may be directed at both retail and institutional investors, and the Company intends to apply for the bonds to be listed on the Catalyst market.

The proceeds from the offering will support the financing and refinancing of 7R’s Green Projects, in accordance with the Green Finance Framework. This framework covers investments that meet stringent environmental criteria, including requirements related to BREEAM certification and energy efficiency. The framework has been independently verified by ISS-Corporate for compliance with the ICMA Green Bond Principles.

For 7R, the capital markets are a key component of its long-term financing strategy. Diversifying our sources of capital allows us to expand our portfolio of modern logistics and manufacturing projects and consistently achieve our sustainability goals.

Reports

Check out our reports

Debt instruments

7R S.A. Bonds

7R S.A. uses debt financing, including bond issuances, as one of the means of financing its real estate development activities and expanding its project portfolio. Below is basic information about the bonds disclosed in the 7R Group’s financial statements.

Serie A

Issue date: April 2, 2025

Maturity date: April 2, 2028

€150M

Series B

Issue date: March 6, 2025

Maturity date: March 6, 2028

€22,9M

C Series

Issue date: September 15, 2025

Maturity date: September 15, 2028

PLN 83.9 million

D Series

Issue date: March 31, 2026

52 million PLN

Financing or refinancing of projects that meet the criteria set forth in the terms and conditions of the issue

Corporate governance

Company management

Information regarding the composition of the Management Board and Supervisory Board of 7R S.A. is published in corporate documents and periodic reports. The data is presented as of the date specified in the relevant document.

Andrzej Wroński

Andrzej Wroński

Member of the Management Board, CEO of 7r

Andrzej Wroński serves as CEO at 7R and is responsible for strategy and…

Magdalena Uler-Kłeczek

Magdalena Uler-Kłeczek

Member of the Executive Board, CIO (7 years)

Magdalena Uler-Kłeczek serves as Chief Investment Officer (CIO) and a member of the management board at…

Piotr Pikiewicz

Contact Information for Investors and Bondholders

Head of Debt & Treasury

Piotr Pikiewicz