Last update: 07.12.2022 01:54 (GMT+2)

Bond list

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Baltic Regulated market

Corporate bonds 42 issues

Name Ticker Coupon
Rate %
Maturity Nominal Accrued
Interest %
Ask Bid Ask Bid Trades Turnover € Issued Home
Market
Last trading day My
NHCB042523A 4.25 08.05.2023 1,000 EUR - - - - 0 0 25.04.2018 TLN 26.04.2023
MXGR032523A 3.25 13.09.2023 1,000 EUR - - - - 0 0 13.09.2018 VLN 07.09.2023
STOR080023A 8 19.10.2023 100 EUR - - - - 0 0 30.12.2019 RIG 09.10.2023
MOGO110024A 11 31.03.2024 1,000 EUR - - - - 0 0 01.03.2021 RIG 20.03.2024
ALTM013024A 1.3 17.10.2024 1,000 EUR - - - - 0 0 17.10.2017 RIG 02.10.2024
PKGB080024A 8 31.10.2024 2.8 EUR - - - - 0 0 27.05.2020 TLN 25.10.2024
AUGB060024A 6 17.12.2024 1,000 EUR - - - - 0 0 17.12.2019 VLN 10.12.2024
ORKL060025A 6 19.01.2025 1,000 EUR - - - - 0 0 19.01.2022 VLN 10.01.2025
PRFB062525A 6.25 22.01.2025 100 EUR - - - - 0 0 22.01.2020 TLN 15.01.2025
ALTM013025A 1.3 07.03.2025 1,000 EUR - - - - 0 0 07.03.2018 RIG 20.02.2025
VIKA006525B 0.65 08.03.2025 1,000 EUR - - - - 0 0 08.03.2022 VLN 03.03.2025
OPMB070025A 7 24.07.2025 1,000 EUR - - - - 0 0 24.07.2018 VLN 18.07.2025
VIKA000025A 0 22.09.2025 1,000 EUR - - - - 0 0 22.09.2021 VLN 15.09.2025
SABB0104725A 1.047 07.10.2025 1,000 EUR - - - - 0 0 07.10.2021 VLN 01.10.2025
AEIB050025A 5 14.12.2025 1,000 EUR - - - - 0 0 14.12.2021 VLN 03.12.2025
AKRB0287526A 2.875 02.06.2026 1,000 EUR - - - - 0 0 02.06.2021 VLN 07.05.2026
IUTE110026A 11 06.10.2026 100 EUR - - - - 0 0 06.10.2021 TLN 30.09.2026
ALTM004426A 0.443 08.10.2026 1,000 EUR - - - - 0 0 08.10.2021 RIG 23.09.2026
CBLBFLOT26A 1.625 22.11.2026 1,000 EUR - - - - 0 0 22.11.2021 RIG 17.11.2026
ACLB070026A 7 31.12.2026 5,000 EUR - - - - 0 0 08.06.2016 RIG 18.12.2026
ASTB005027A 0.5 20.01.2027 1,000 EUR - - - - 0 0 20.10.2021 RIG 08.01.2027
ELEK024227A 2.42 05.05.2027 1,000 EUR - - - - 0 0 05.05.2022 RIG 20.04.2027
EPSO0311727A 3.117 08.06.2027 1,000 EUR - - - - 0 0 08.06.2022 VLN 31.05.2027
VIKA0282627A 2.826 30.06.2027 1,000 EUR - - - - 0 0 30.06.2022 VLN 23.06.2027
MXGR062527A 6.25 12.07.2027 1,000 EUR - - - - 0 0 12.07.2022 VLN 16.06.2027
IGNB020027A 2 14.07.2027 1,000 EUR - - - - 0 0 14.07.2017 VLN 08.07.2027
CBLB055027A 5.5 24.11.2027 10,000 EUR - - - - 0 0 24.11.2017 RIG 09.11.2027
ADMB080027A 8 28.12.2027 100 EUR - - - - 0 0 28.12.2017 TLN 22.12.2027
ELEK005028A 0.5 17.05.2028 1,000 EUR - - - - 0 0 17.05.2021 RIG 02.05.2028
IGNB0187528A 1.875 10.07.2028 1,000 EUR - - - - 0 0 10.07.2018 VLN 04.07.2028
LHVB060028A 6 28.11.2028 1,000 EUR - - - - 0 0 28.11.2018 TLN 22.11.2028
BORA070029A 7 01.06.2029 1,000 EUR - - - - 0 0 01.06.2022 RIG 22.05.2029
INBB060029A 6 19.12.2029 1,000 EUR - - - - 0 0 19.12.2019 TLN 13.12.2029
SABB061529A 6.15 23.12.2029 10,000 EUR - - - - 0 0 23.12.2019 VLN 18.12.2029
IGNB020030A 2 21.05.2030 1,000 EUR - - - - 0 0 21.05.2020 VLN 15.05.2030
LHVB060030A 6 30.09.2030 1,000 EUR - - - - 0 0 30.09.2020 TLN 24.09.2030
ADMG080031A 8 05.02.2031 100 EUR - - - - 0 0 05.02.2021 TLN 29.01.2031
CPAB055031A 5.5 31.03.2031 1,000 EUR - - - - 0 0 31.03.2021 TLN 24.03.2031
CBLB050031A 5 13.12.2031 10,000 EUR - - - - 0 0 13.12.2021 RIG 28.11.2031
INBB055031A 5.5 15.12.2031 1,000 EUR - - - - 0 0 15.12.2021 TLN 09.12.2031
CPAB050032A 5 10.03.2032 1,000 EUR - - - - 0 0 10.03.2022 TLN 03.03.2032
BIGB080032A 8 21.09.2032 1,000 EUR - - - - 0 0 21.09.2022 TLN 15.09.2032

Total
Corporate bonds

Corporate bonds Total Trades Turnover €
  0 0

Government bonds 24 issues

Name Ticker Coupon
Rate %
Maturity Nominal Accrued
Interest %
Ask Yield Bid Yield Ask Bid Ask Bid Trades Turnover € Issued Home
Market
Last trading day My
LTGB041023A 4.1 28.02.2023 0.01 EUR - - - - - - 0 0 04.03.2013 VLN 22.02.2023
LTGB001023D 0.1 01.04.2023 100 EUR - - - - - - 0 0 01.04.2020 VLN 28.03.2023
LVGB002523A 0.25 12.05.2023 1,000 EUR - - - - - - 0 0 12.01.2018 RIG 08.05.2023
LTGB006023B 0.6 29.06.2023 100 EUR - - - - - - 0 0 29.06.2016 VLN 23.06.2023
LTGB004023C 0.4 16.08.2023 100 EUR - - - - - - 0 0 16.08.2018 VLN 10.08.2023
LVGB005023A 0.5 02.11.2023 1,000 EUR - - - - - - 0 0 02.11.2018 RIG 27.10.2023
LTGB004024C 0.4 17.04.2024 100 EUR - - - - - - 0 0 17.04.2019 VLN 11.04.2024
LTGB000024D 0 02.06.2024 100 EUR - - - - - - 0 0 02.12.2020 VLN 28.05.2024
LTGB007024B 0.7 23.08.2024 100 EUR - - - - - - 0 0 23.08.2017 VLN 19.08.2024
LTGB021024A 2.1 06.11.2024 100 EUR - - - - - - 0 0 06.11.2014 VLN 31.10.2024
LVGB000025A 0 31.01.2025 1,000 EUR - - - - - - 0 0 05.07.2019 RIG 27.01.2025
LTGB013025B 1.3 04.08.2025 100 EUR - - - - - - 0 0 04.05.2022 VLN 29.07.2025
LTGB008025A 0.8 21.11.2025 100 EUR - - - - - - 0 0 21.11.2018 VLN 17.11.2025
LTGB000026B 0 22.01.2026 100 EUR - - - - - - 0 0 22.07.2020 VLN 16.01.2026
LTGB000026C 0 02.06.2026 100 EUR - - - - - - 0 0 02.06.2021 VLN 27.05.2026
LTGB001026A 0.1 27.11.2026 100 EUR - - - - - - 0 0 27.11.2019 VLN 23.11.2026
LTGB011027A 1.1 26.04.2027 100 EUR - - - - - - 0 0 26.04.2017 VLN 20.04.2027
LVGB000027A 0 03.07.2027 1,000 EUR - - - - - - 0 0 03.07.2020 RIG 29.06.2027
LTGB023027B 2.3 13.07.2027 100 EUR - - - - - - 0 0 13.07.2022 VLN 07.07.2027
LTGB000028B 0 03.03.2028 100 EUR - - - - - - 0 0 03.03.2021 VLN 28.02.2028
LTGGB012028A 1.2 03.05.2028 100 EUR - - - - - - 0 0 03.05.2018 VLN 27.04.2028
LTGB002029A 0.2 28.08.2029 100 EUR - - - - - - 0 0 28.08.2019 VLN 22.08.2029
LTGB024029B 2.4 15.12.2029 100 EUR - - - - - - 0 0 15.06.2022 VLN 11.12.2029
LTGB003032A 0.3 12.02.2032 100 EUR - - - - - - 0 0 12.02.2020 VLN 06.02.2032

Total
Government bonds

Government bonds Total Trades Turnover €
  0 0

Grand total
Baltic Regulated market

Baltic Regulated market Trades Turnover €
Grand total 0 0

First North (Baltic MTF)

Nasdaq First North is a multilateral trading facility (MTF), also known as an Alternative Market, operated by the different exchanges within Nasdaq. It does not have the legal status of an EU regulated market. Companies on First North are subject to the rules of First North and not the legal requirements for listing or admission to trading on a regulated market.

First North Corporate bonds 19 issues

For First North Baltic Bond List instruments until May 15, 2017 the prices are indicated in monetary dimension. Starting from May 15th, 2017 the prices are indicated in percentage of the nominal value.

Name Ticker Coupon
Rate %
Maturity Nominal Accrued
Interest %
Ask Bid Ask Bid Trades Turnover € Issued Home
Market
Last trading day My
VIAB050023FA 5 01.04.2023 1,000 EUR - - - - 0 0 01.04.2020 VLN 24.03.2023
MAYB055023FA 5.5 05.04.2023 100 EUR - - - - 0 0 08.11.2017 TLN 27.03.2023
CIVB050023FA 5 15.10.2023 1,000 EUR - - - - 0 0 15.10.2021 VLN 06.10.2023
CAPT065023FA 6.5 30.10.2023 100 EUR - - - - 0 0 30.10.2020 VLN 20.10.2023
BMLB045023FA 4.5 03.11.2023 100 EUR - - - - 0 0 05.11.2021 VLN 30.10.2023
DGRB080023FA 8 25.11.2023 1,000 EUR - - - - 0 0 24.11.2021 RIG 15.11.2023
MDGB050023FA 5 04.12.2023 100 EUR - - - - 0 0 04.12.2020 VLN 28.11.2023
INMB050023FA 5 18.12.2023 100 EUR - - - - 0 0 17.12.2021 VLN 12.12.2023
GIVEN006024FA 6 30.04.2024 1,000 EUR - - - - 0 0 02.11.2021 RIG 18.04.2024
CAPT050024FA 5 03.06.2024 100 EUR - - - - 0 0 03.06.2022 VLN 27.05.2024
SUMC067524FA 6.75 18.06.2024 1,000 EUR - - - - 0 0 18.06.2021 RIG 06.06.2024
SUNB110024FA 11 30.06.2024 1,000 EUR - - - - 0 0 20.07.2021 RIG 18.06.2024
UPPB080022FA 6 17.07.2024 1,000 EUR - - - - 0 0 17.04.2017 TLN 09.07.2024
CCLAT067524FA 6.75 04.11.2024 1,000 EUR - - - - 0 0 05.11.2021 RIG 23.10.2024
LONGO060024FA 6 30.11.2024 1,000 EUR - - - - 0 0 30.11.2021 RIG 20.11.2024
ELGB060026FA 6 12.02.2026 1,000 EUR - - - - 0 0 12.02.2021 RIG 02.02.2026
MAYB047526FA 4.75 10.06.2026 100 EUR - - - - 0 0 10.06.2021 TLN 01.06.2026
TUUL100027FA 10 29.03.2027 500 EUR - - - - 0 0 29.03.2022 TLN 22.03.2027
ELEVFLOT31FA 12 29.12.2031 1,000 EUR - - - - 0 0 29.12.2021 RIG 19.12.2031

Total
First North Corporate bonds

First North Corporate bonds Total Trades Turnover €
  0 0

Grand total
Baltic Regulated market
& First North (Baltic MTF)

Baltic Regulated market
& First North (Baltic MTF)
Trades Turnover €
Grand total 0 0

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