Last update: 18.12.2025 15:58 (GMT+2)

Baltic Regulated market

Corporate bonds 68 issues

Name Ticker Coupon
Rate %
Maturity Nominal Accrued
Interest %
Ask Bid Ask Bid Trades Turnover € Issued Home
Market
Last trading day Last trade price dirty Last trade price clean My
STOH110025A 11 21.12.2025 100 EUR - - - - 0 0 21.06.2023 RIG 16.12.2025 - -
AEIB050025A 8.5 15.06.2026 500 EUR 0.188889 - - - - 0 0 14.12.2021 VLN 03.06.2026 - -
STOH100026A 10 21.09.2026 100 EUR 0.027778 100.3 98 100.327778 98.027778 1 502 21.03.2024 RIG 15.09.2026 100.327778 100.3
IUTE110026A 11 06.10.2026 100 EUR 2.326923 102 100.5 104.326923 102.826923 0 0 06.10.2021 TLN 30.09.2026 - -
TWXB085026A 8.5 06.10.2026 1,000 EUR 1.798077 103.9 100 105.698077 101.798077 0 0 06.09.2024 VLN 28.09.2026 - -
ALTM004426A 0.443 08.10.2026 1,000 EUR 0.091027 - - - - 0 0 08.10.2021 RIG 23.09.2026 - -
PKGB080024A 9 31.10.2026 2.38 EUR 3.95 - - - - 0 0 27.05.2020 TLN 27.10.2026 - -
AEIB085026A 8.5 04.12.2026 1,000 EUR 1.127072 - - - - 0 0 04.11.2025 VLN 24.11.2026 - -
KVRTB080026A 8 19.12.2026 100 EUR 0.065934 101.25 100.25 101.315934 100.315934 0 0 19.12.2024 VLN 10.12.2026 - -
ASTB005027A 0.5 20.01.2027 1,000 EUR 0.460274 - - - - 0 0 20.10.2021 RIG 08.01.2027 - -
AMBEFLOT27A 9.493 31.03.2027 1,000 EUR 2.162294 86.5 86 88.662294 88.162294 0 0 21.04.2023 RIG 19.03.2027 - -
GREG100027A 10 16.04.2027 100 EUR 0.611111 103 101.03 103.611111 101.641111 0 0 19.04.2024 RIG 12.04.2027 - -
ELEK024227A 2.42 05.05.2027 1,000 EUR 1.531562 - - - - 0 0 05.05.2022 RIG 20.04.2027 - -
PNP100027A 10 04.06.2027 1,000 EUR 0.493151 101.856849 100.4932 102.35 100.986351 0 0 04.06.2025 RIG 31.05.2027 - -
EPSO0311727A 3.117 08.06.2027 1,000 EUR 1.682326 - - - - 0 0 08.06.2022 VLN 31.05.2027 - -
IVLB070027A 7 14.06.2027 1,000 EUR 0.155556 102 - 102.155556 - 0 0 14.06.2024 VLN 04.06.2027 - -
VIKA0282627A 2.826 30.06.2027 1,000 EUR 1.354932 - - - - 0 0 30.06.2022 VLN 23.06.2027 - -
IGNB020027A 2 14.07.2027 1,000 EUR 0.882192 - - - - 0 0 14.07.2017 VLN 08.07.2027 - -
GREG100027B 10 30.08.2027 100 EUR 0.611111 103 101 103.611111 101.611111 2 2,642 30.08.2024 RIG 24.08.2027 101.611111 101
LNGB100027A 10 30.11.2027 100 EUR 0.611111 102 101 102.611111 101.611111 0 0 29.11.2024 RIG 24.11.2027 - -
AEIB080027A 8 13.12.2027 1,000 EUR 0.197802 - - - - 0 0 13.06.2025 VLN 01.12.2027 - -
ADMB080027A 8 28.12.2027 100 EUR 3.866667 100 94 103.866667 97.866667 0 0 28.12.2017 TLN 22.12.2027 - -
PRFB062525A 0 31.03.2028 100 EUR - - 47.86 26.01 0 0 22.01.2020 TLN 24.03.2028 - -
NHCBFLO28A 9.99 08.05.2028 45,238.09 EUR 1.204274 - - - - 0 0 08.05.2023 TLN 25.04.2028 - -
ELEK005028A 0.5 17.05.2028 1,000 EUR 0.3 - - - - 0 0 17.05.2021 RIG 02.05.2028 - -
LVNB105028A 10.5 23.05.2028 1,000 EUR 0.845833 102.1 101.990833 102.945833 102.836666 0 0 23.05.2024 TLN 17.05.2028 - -
ESTE050028A 5 04.06.2028 100 EUR 0.25 103 101.95 103.25 102.2 7 21,978 04.06.2025 TLN 29.05.2028 103.25 103
IGNB0187528A 1.875 10.07.2028 1,000 EUR 0.847603 - - - - 0 0 10.07.2018 VLN 04.07.2028 - -
ARCB088028A 8.8 24.09.2028 100 EUR -0.048889 101.71 100.450001 101.661111 100.401112 2 1,004 24.09.2025 TLN 15.09.2028 100.401111 100.45
DGRB100028A 10 25.09.2028 100 EUR -0.083333 102 101.6 101.916667 101.516667 3 15,725 20.09.2024 RIG 19.09.2028 101.416667 101.5
STOH100028A 10 25.10.2028 100 EUR 1.583333 99.94 99.5 101.523333 101.083333 1 203 25.04.2025 RIG 19.10.2028 101.523333 99.94
ELEV130028A 13 31.10.2028 100 EUR 1.836957 108 106.063043 109.836957 107.9 0 0 31.10.2023 RIG 25.10.2028 - -
HPRB095028A 9.5 26.11.2028 1,000 EUR 0.686111 100.5 100.11 101.186111 100.796111 2 2,020 26.11.2025 TLN 20.11.2028 100.796111 100.11
ELEK0495229A 4.952 22.02.2029 1,000 EUR 4.110838 - - - - 0 0 22.02.2023 RIG 16.02.2029 - -
LVNB090029A 9 19.03.2029 1,000 EUR 0.075 100.09 93.1 100.165 93.175 6 13,998 19.03.2025 TLN 13.03.2029 100.075 100
BORA070029A 7 01.06.2029 1,000 EUR 0.408333 - 100.14 - 100.548333 0 0 01.06.2022 RIG 22.05.2029 - -
STOH100029A 10 05.06.2029 100 EUR 0.472222 - 99.9 - 100.372222 0 0 05.12.2025 RIG 30.05.2029 - -
SUMC080029A 8 30.06.2029 1,000 EUR -0.177778 101.48 100.6 101.302222 100.422222 1 1,003 30.06.2025 TLN 20.06.2029 100.322222 100.5
CIVB100029A 10 17.07.2029 1,000 EUR 4.293478 105 102 109.293478 106.293478 0 0 17.07.2025 VLN 09.07.2029 - -
VIKA0311929A 3.119 24.09.2029 1,000 EUR 0.760523 - - - - 0 0 24.09.2025 VLN 14.09.2029 - -
AKRB060030A 6 15.05.2030 1,000 EUR 3.632877 105.5 102 109.132877 105.632877 0 0 15.05.2025 VLN 25.04.2030 - -
IGNB020030A 2 21.05.2030 1,000 EUR 1.178082 - - - - 0 0 21.05.2020 VLN 15.05.2030 - -
ALTM035730A 3.576 30.05.2030 1,000 EUR 2.018236 - - - - 0 0 30.05.2025 RIG 24.05.2030 - -
H2O040030A 4 04.06.2030 100 EUR 0.2 - - - - 0 0 04.06.2025 RIG 29.05.2030 - -
ELEV095030A 9.5 24.10.2030 1,000 EUR 1.539835 105 103.2 106.539835 104.739835 0 0 24.10.2025 RIG 18.10.2030 - -
ELEK361230A 3.612 13.11.2030 1,000 EUR 0.38594 - - - - 0 0 13.11.2025 RIG 07.11.2030 - -
IUTE120030A 12 06.12.2030 100 EUR 0.527473 100 99.8 100.527473 100.327473 11 28,047 06.06.2025 TLN 31.05.2030 100.527473 100
ADMG080031A 8 05.02.2031 100 EUR 3.044444 96 89.19 99.044444 92.234444 0 0 05.02.2021 TLN 29.01.2031 - -
CPAB055031A 5.5 31.03.2031 1,000 EUR 1.252778 101.5 100 102.752778 101.252778 0 0 31.03.2021 TLN 24.03.2031 - -
CBLB050031A 5 13.12.2031 10,000 EUR 0.123626 101.5 98.75 101.623626 98.873626 0 0 13.12.2021 RIG 28.11.2031 - -
INBB055031A 5.5 15.12.2031 1,000 EUR 1.283333 100.99 98.61 102.273333 99.893333 0 0 15.12.2021 TLN 09.12.2031 - -
CPAB050032A 5 10.03.2032 1,000 EUR 1.138889 - - - - 1 3,038 10.03.2022 TLN 03.03.2032 101.277889 100.139
BIGB080032A 8 21.09.2032 1,000 EUR 0.022222 104.39 103.98 104.412222 104.002222 8 20,860 21.09.2022 TLN 15.09.2032 104.420222 104.398
BIGB080033A 8 16.02.2033 1,000 EUR 0.8 105.999999 104.5 106.799999 105.3 0 0 16.02.2023 TLN 09.02.2033 - -
SABB107533A 10.75 22.06.2033 1,000 EUR 5.389726 114.9 110 120.289726 115.389726 0 0 22.06.2023 VLN 14.06.2033 - -
LHVB105033A 10.5 29.09.2033 1,000 EUR 2.420833 117.5 116.8 119.920833 119.220833 0 0 29.09.2023 TLN 23.09.2033 - -
BIGB080033B 8 30.11.2033 1,000 EUR 0.488889 106.694 104 107.182889 104.488889 0 0 30.11.2023 TLN 24.11.2033 - -
INBB090033A 9 13.12.2033 1,000 EUR 2.1 109.39 108 111.49 110.1 0 0 13.12.2023 TLN 06.12.2033 - -
CBLB080034A 8 05.04.2034 10,000 EUR 1.714286 107.5 105.5 109.214286 107.214286 0 0 05.04.2024 RIG 30.03.2034 - -
SABB077034A 7.7 22.05.2034 1,000 EUR 0.641667 107.72 103.29 108.361667 103.931667 0 0 22.05.2024 VLN 12.05.2034 - -
BIGB070034A 7 29.05.2034 1,000 EUR 0.136111 - 103.5 - 103.636111 0 0 29.05.2024 TLN 23.05.2034 - -
BORA100034A 10 02.10.2034 1,000 EUR 2.222222 106.3 103.2 108.522222 105.422222 1 1,053 02.10.2024 RIG 26.09.2034 105.322222 103.1
BIGB065034A 6.5 23.10.2034 1,000 EUR 0.126389 103 101.5 103.126389 101.626389 0 0 23.10.2024 TLN 16.10.2034 - -
LHVB060034A 6 15.11.2034 1,000 EUR 0.616667 104.1 103 104.716667 103.616667 1 2,094 15.11.2024 TLN 08.11.2034 104.716667 104.1
BIGB065035A 6.5 27.06.2035 1,000 EUR 0.126389 103.98 101.04 104.106389 101.166389 0 0 27.06.2025 TLN 21.06.2035 - -
INBB062535A 6.25 09.10.2035 1,000 EUR 1.267361 104.8 102.1 106.067361 103.367361 0 0 09.10.2025 TLN 03.10.2035 - -
URBO070035A 7 21.10.2035 1,000 EUR 1.186111 102.68 - 103.866111 - 0 0 21.10.2025 VLN 12.10.2035 - -
DNMFFLOT53A 3.234 15.11.2053 100,000 EUR 0.044917 - - - - 0 0 17.12.2025 VLN 05.11.2053 - -

Total
Corporate bonds

Corporate bonds Total Trades Turnover €
  47 114,161

Government bonds 14 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 Last trade price dirty Last trade price clean My
LTGB00026B 0 22.01.2026 100 EUR - - - - - - 0 0 22.07.2020 VLN 16.01.2026 - -
LTGB00026C 0 02.06.2026 100 EUR - - - - - - 0 0 02.06.2021 VLN 27.05.2026 - -
LTGB39026D 3.9 02.08.2026 100 EUR 1.5173 - - - - - - 0 0 02.08.2023 VLN 28.07.2026 - -
ETGB033026A 3.3 16.09.2026 100 EUR 0.876986 1.907148 2.111855 101 100.85 101.876986 101.726986 2 1,628 16.09.2024 TLN 09.09.2026 101.726986 100.85
LTGB01026A 0.1 27.11.2026 100 EUR 0.0068 - - - - - - 0 0 27.11.2019 VLN 23.11.2026 - -
LTGB11027A 1.1 26.04.2027 100 EUR 0.7233 - 2.413299 - 98.2825 - 99.0058 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 - -
LTGB23027B 2.3 13.07.2027 100 EUR 1.0208 - 2.451281 - 99.7649 - 100.7857 0 0 13.07.2022 VLN 07.07.2027 - -
LTGB00028B 0 03.03.2028 100 EUR - - - - - - 0 0 03.03.2021 VLN 28.02.2028 - -
LTGGB12028A 1.2 03.05.2028 100 EUR 0.766 - - - - - - 0 0 03.05.2018 VLN 27.04.2028 - -
LTGB27028D 2.7 05.08.2028 100 EUR 1.0282 2.56889 - 100.32 - 101.3482 - 0 0 05.02.2025 VLN 01.08.2028 - -
LTGB02029A 0.2 28.08.2029 100 EUR 0.0636 - - - - - - 0 0 28.08.2019 VLN 22.08.2029 - -
LTGB24029B 2.4 15.12.2029 100 EUR 0.046 - - - - - - 0 0 15.06.2022 VLN 11.12.2029 - -
LTGB03032A 0.3 12.02.2032 100 EUR 0.2573 - - - - - - 0 0 12.02.2020 VLN 06.02.2032 - -

Total
Government bonds

Government bonds Total Trades Turnover €
  2 1,627

Grand total
Baltic Regulated market

Baltic Regulated market Trades Turnover €
Grand total 49 115,794.47

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 61 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 Last trade price dirty Last trade price clean My
FERN090026FA 9 19.12.2025 1,000 EUR - - - - 0 0 13.09.2024 VLN 12.12.2025 - -
ELGB060026FA 6 12.02.2026 1,000 EUR 2.166667 100.25 - 102.416667 - 0 0 12.02.2021 RIG 02.02.2026 - -
ECOB080026FA 8 17.02.2026 1,000 EUR 2.777778 - - - - 0 0 17.02.2023 RIG 11.02.2026 - -
DGRBFLOT26FA 11.016 25.02.2026 1,000 EUR -0.0918 102 100 101.9082 99.9082 1 19,982 23.08.2023 RIG 19.02.2026 99.9082 100
HEROBFLOT26FA 8.127 18.05.2026 1,000 EUR 0.757036 100 99 100.757036 99.757036 0 0 18.05.2023 VLN 06.05.2026 - -
ARSEN120026FA 12 31.05.2026 1,000 EUR 0.733333 99.9 - 100.633333 - 0 0 30.11.2023 RIG 26.05.2026 - -
MAYB047526FA 4.75 10.06.2026 100 EUR 0.158333 100 98.5 100.158333 98.658333 0 0 10.06.2021 TLN 01.06.2026 - -
YLSTN110026FA 11 16.06.2026 1,000 EUR 0.183333 - - - - 0 0 16.12.2024 VLN 09.06.2026 - -
AGAB110026FA 11 28.06.2026 100 EUR 2.566667 - - - - 0 0 28.06.2024 VLN 19.06.2026 - -
CPTBFLO26FA 8.036 29.06.2026 1,000 EUR 3.861744 100.4 - 104.261744 - 1 1,043 26.03.2024 VLN 19.06.2026 104.260744 100.399
UPPB080022FA 7 17.07.2026 1,000 EUR 1.263889 - - - - 0 0 17.04.2017 TLN 09.07.2026 - -
15MIN098026FA 9.8 28.10.2026 1,000 EUR 1.47 - 80 - 81.47 0 0 28.10.2024 VLN 20.10.2026 - -
ECOB090026FA 9 02.11.2026 1,000 EUR 1.25 - 100.5 - 101.75 0 0 02.11.2023 RIG 27.10.2026 - -
DGRBFLOT26FB 11.016 25.11.2026 1,000 EUR -0.0918 103.85 100.9 103.7582 100.8082 0 0 23.11.2023 RIG 19.11.2026 - -
SIGR115026FA 11.5 29.11.2026 1,000 EUR 0.730663 106.6 97.5 107.330663 98.230663 1 6,104 29.11.2024 VLN 20.11.2026 101.730663 101
ZLVB095026FA 9.5 02.12.2026 1,000 EUR 0.527778 103.394444 100.5 103.922222 101.027778 0 0 02.12.2024 VLN 24.11.2026 - -
MAPONFLOT27FA 6.993 08.03.2027 1,000 EUR 1.59285 101.8 - 103.39285 - 0 0 08.03.2024 RIG 02.03.2027 - -
MAYB085027FA 8.5 10.03.2027 100 EUR 2.408333 103 100.4 105.408333 102.808333 0 0 06.03.2023 TLN 01.03.2027 - -
TUUL100027FA 10 29.03.2027 500 EUR 2.305556 43.5 40 45.805556 42.305556 0 0 29.03.2022 TLN 22.03.2027 - -
NDSPC120027FA 12 31.03.2027 1,000 EUR 2.733333 103 101.25 105.733333 103.983333 0 0 04.04.2025 VLN 19.03.2027 - -
FASTL120027FA 12 20.05.2027 1,000 EUR 1.043478 103.5 103 104.543478 104.043478 0 0 20.05.2024 VLN 12.05.2027 - -
SUMC095027FA 9.5 11.06.2027 1,000 EUR 0.290278 102.2 101.55 102.490278 101.840278 0 0 11.06.2024 RIG 07.06.2027 - -
ICOTNFLOT27FA 7.993 30.06.2027 1,000 EUR 1.820628 100.75 99 102.570628 100.820628 0 0 22.12.2023 RIG 22.06.2027 - -
KAITA115027FA 11.5 15.07.2027 1,000 EUR 5 100.8 100.5 105.8 105.5 0 0 15.07.2025 VLN 07.07.2027 - -
REFIE080027FA 8 20.08.2027 1,000 EUR 0.711111 102.9 98 103.611111 98.711111 0 0 20.02.2025 VLN 13.08.2027 - -
HEST045027FA 4.5 01.09.2027 0.01 EUR 1.025 - - - - 0 0 20.12.2022 RIG 26.08.2027 - -
MODE110027FA 11 13.09.2027 500 EUR 1.497222 106.88 101.4 108.377222 102.897222 0 0 13.09.2024 TLN 07.09.2027 - -
LEBAFLOAT27FA 8.303 10.10.2027 1,000 EUR 1.6606 - - - - 0 0 10.04.2024 VLN 04.10.2027 - -
ENERV110027FA 11 25.10.2027 1,000 EUR 1.741667 - - - - 0 0 25.04.2025 VLN 15.10.2027 - -
VNGAM100027FA 10 29.10.2027 1,000 EUR 1.483516 102.3 - 103.783516 - 1 2,050 29.04.2025 VLN 21.10.2027 102.483516 101
CCLAT080027FA 8 31.10.2027 1,000 EUR 1.822222 100.5 - 102.322222 - 0 0 31.10.2024 RIG 26.10.2027 - -
REFIG085027FA 8.5 05.11.2027 1,000 EUR 1.109722 - - - - 0 0 05.11.2025 VLN 28.10.2027 - -
S3B080027FA 8 29.11.2027 1,000 EUR 0.508287 102 100.25 102.508287 100.758287 0 0 29.05.2025 VLN 19.11.2027 - -
SUNB110027FA 11 30.11.2027 1,000 EUR 0.672222 103.5 100.25 104.172222 100.922222 0 0 22.05.2024 RIG 24.11.2027 - -
MDGB085027FA 8.5 04.12.2027 100 EUR 0.425 - - - - 0 0 04.12.2025 VLN 26.11.2027 - -
NDTB100027FA 10 17.12.2027 1,000 EUR 0.137363 102 98.862637 102.137363 99 1 3,064 17.12.2024 VLN 09.12.2027 102.137363 102
FASTL090027FA 9 20.12.2027 1,000 EUR 0.05 100.5 - 100.55 - 0 0 20.12.2024 VLN 13.12.2027 - -
DAMBFLOT28FA 9.901 15.01.2028 1,000 EUR 1.829533 - - - - 0 0 15.07.2025 VLN 05.01.2028 - -
REFIS085028FA 8.5 19.02.2028 1,000 EUR 0.768493 100 - 100.768493 - 0 0 19.08.2025 VLN 11.02.2028 - -
COFAD085028FA 8.5 28.02.2028 1,000 EUR 0.519444 104 101 104.519444 101.519444 0 0 28.02.2025 RIG 22.02.2028 - -
VLIB090028FA 9 30.03.2028 1,000 EUR 0.55 100.8 - 101.35 - 0 0 30.05.2025 VLN 22.03.2028 - -
PBGB090028FA 9 14.04.2028 1,000 EUR 1.7 105 - 106.7 - 0 0 14.10.2025 VLN 06.04.2028 - -
NUMAI080028FA 8 20.04.2028 1,000 EUR 1.377778 - - - - 0 0 20.10.2025 VLN 12.04.2028 - -
HISK090028FA 9 22.04.2028 1,000 EUR 1.5 100.8 98 102.3 99.5 0 0 22.07.2025 VLN 14.04.2028 - -
HOTB090028FA 9 25.04.2028 1,000 EUR 2.175 103.899 - 106.074 - 1 10,218 25.06.2025 VLN 17.04.2028 102.175 100
BANGA070028FA 7 08.05.2028 1,000 EUR 0.855556 - - - - 0 0 08.05.2025 RIG 02.05.2028 - -
FOUR112528FA 11.25 23.05.2028 1,000 EUR 0.886549 - - - - 0 0 23.05.2016 RIG 17.05.2028 - -
EVKB110028FA 11 04.06.2028 1,000 EUR 0.55 105.5 103.5 106.05 104.05 0 0 04.06.2025 TLN 30.05.2028 - -
DGRBFLOT28FA 13.516 25.07.2028 1,000 EUR -0.112633 - 102.032633 - 101.92 0 0 25.07.2023 RIG 19.07.2028 - -
UHIB085028FA 8.5 24.09.2028 1,000 EUR 2.089779 102 100 104.089779 102.089779 0 0 24.09.2025 VLN 15.09.2028 - -
SUNB100028FA 10 29.09.2028 1,000 EUR 0.666667 100 99.833333 100.666667 100.5 2 40,267 07.04.2025 RIG 25.09.2028 100.666667 100
EVKB100028FA 10 22.10.2028 1,000 EUR 1.666667 101.7 90 103.366667 91.666667 1 1,017 22.10.2025 TLN 12.10.2028 101.666667 100
NUMAI085028FB 8.5 04.12.2028 1,000 EUR 0.425 - - - - 0 0 04.12.2025 VLN 24.11.2028 - -
LATRA075028FA 7.5 12.12.2028 1,000 EUR 1.708333 100.75 - 102.458333 - 0 0 12.12.2024 RIG 06.12.2028 - -
LEBAFLOT29FA 8.313 10.01.2029 1,000 EUR 0.2771 - - - - 0 0 10.03.2025 VLN 02.01.2029 - -
DGRBFLOT29FA 13.016 25.05.2029 1,000 EUR -0.108467 - 101.01 - 100.901533 0 0 31.05.2024 RIG 21.05.2029 - -
INVLV110029FA 11 29.05.2029 1,000 EUR 0.702778 106 104 106.702778 104.702778 0 0 29.05.2025 TLN 23.05.2029 - -
OCVB060029FA 6 20.06.2029 100 EUR 0.033333 100.25 100 100.283333 100.033333 0 0 20.06.2025 RIG 14.06.2029 - -
RTOB120029FA 12 18.07.2029 1,000 EUR 2.119565 - - - - 0 0 18.07.2022 VLN 12.07.2029 - -
KREDA080033FA 8 30.09.2033 1,000 EUR 1.824176 - - - - 0 0 30.09.2025 VLN 26.09.2033 - -
HLMBK095034FA 9.5 30.05.2034 1,000 EUR 0.580556 116.999999 110.002001 117.580555 110.582557 0 0 30.05.2024 TLN 24.05.2034 - -

Total
First North Corporate bonds

First North Corporate bonds Total Trades Turnover €
  9 83,738

Baltic First North Foreign Bonds 23 issues

Baltic First North Foreign Bonds is administered by the operator of the regulated market AB Nasdaq Vilnius and means the multilateral trading facility not having the regulated market status. Full disclaimer is available here.

Name Ticker Coupon
Rate %
Maturity Nominal Accrued
Interest %
Ask Bid Ask Bid Trades Turnover € Issued Home
Market
Last trading day Last trade price dirty Last trade price clean My
AZEBFLOT26FA 8.782 02.10.2026 1,000 EUR 1.97595 - - - - 0 0 02.10.2023 VLN 25.09.2026 - -
LTGEB212526A 2.125 29.10.2026 1,000 EUR 0.3144 - - - - 0 0 29.10.2014 VLN 23.10.2026 - -
LTGEB095027C 0.95 26.05.2027 1,000 EUR 0.5466 - - - - 0 0 26.05.2017 VLN 20.05.2027 - -
SLRBFLOT27FA 8.944 09.10.2027 1,000 EUR 1.838489 100 - 101.838489 - 0 0 09.04.2024 VLN 04.10.2027 - -
LTGEB412528C 4.125 25.04.2028 1,000 EUR 2.7236 - - - - 0 0 25.10.2022 VLN 20.04.2028 - -
GEVBFLOT28FA 6.493 26.12.2028 1,000 EUR -0.072144 103.5 98 103.427856 97.927856 0 0 26.03.2025 VLN 13.12.2028 - -
LTGEB05029A 0.5 19.06.2029 1,000 EUR 0.2548 - - - - 0 0 19.06.2019 VLN 14.06.2029 - -
FTCBFLOT27FA 10.5 22.07.2029 1,000 EUR 1.779167 - - - - 0 0 22.07.2022 VLN 15.07.2029 - -
LFTBFLOT29FA 9.069 29.08.2029 1,000 EUR 12.092 - - - - 0 0 29.08.2024 VLN 22.08.2029 - -
LTGEB287530A 2.875 28.01.2030 1,000 EUR 2.5836 - - - - 0 0 28.01.2025 VLN 25.01.2030 - -
SGLBFLOT30FA 6.765 22.04.2030 1,000 EUR 1.146292 101 - 102.146292 - 0 0 22.04.2024 VLN 15.04.2030 - -
LTGEB075030B 0.75 06.05.2030 1,000 EUR 0.4726 - - - - 0 0 06.05.2020 VLN 30.04.2030 - -
SGLBFLOT331A 6.304 24.02.2031 1,000 EUR 0.490311 - - - - 0 0 24.02.2025 VLN 17.02.2031 - -
LTGEB350031A 3.5 03.07.2031 1,000 EUR 1.6493 - - - - 0 0 03.07.2024 VLN 30.06.2031 - -
LTGEB212532A 2.125 01.06.2032 1,000 EUR 1.1877 - - - - 0 0 01.06.2022 VLN 26.05.2032 - -
LTGEB387533A 3.875 14.06.2033 1,000 EUR 2.0277 - - - - 0 0 14.06.2023 VLN 08.06.2033 - -
LTGEB350034A 3.5 13.02.2034 1,000 EUR 2.9918 - - - - 0 0 13.02.2024 VLN 07.02.2034 - -
LTGEB212535A 2.125 22.10.2035 1,000 EUR 0.3551 - - - - 0 0 22.10.2015 VLN 16.10.2035 - -
LTGEB362540A 3.625 28.01.2040 1,000 EUR 3.2575 - - - - 0 0 28.01.2025 VLN 24.01.2040 - -
LTGEB210047A 2.1 26.05.2047 1,000 EUR 1.2082 - - - - 0 0 26.05.2017 VLN 21.05.2047 - -
LTGEB162549A 1.625 19.06.2049 1,000 EUR 0.8281 - - - - 0 0 19.06.2019 VLN 15.06.2049 - -
LTGEB050050A 0.5 28.07.2050 1,000 EUR 0.2014 - - - - 0 0 28.07.2020 VLN 22.07.2050 - -
LTGEB075051A 0.75 15.07.2051 1,000 EUR 0.3288 - - - - 0 0 15.07.2021 VLN 11.07.2051 - -

Total
Baltic First North Foreign Bonds

Baltic First North Foreign 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 58 199,537.18

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