Last update: 19.10.2024 23:08 (GMT+3)
Number of listed securities | 5,945,375,300 |
Nominal | 0.01 EUR |
Issue value | 59,453,753 EUR |
Listing date | 30.10.2017 |
Maturity date | |
Coupon rate (%) | 0 |
Next coupon payment date |
Interest accrual was discontinued as of 23:59 June 12, 2018. Accrued interest until 23:59 June 12, 2018 can be found here.
The date of maturity for the bonds is not known. Bonds will be redeemed in accordance with the creditors' order specified in the Law on Credit Institutions. More information here.
Security information until September 25, 2018 (including)
ISIN: LV0000802320
Ticker: ABLV021519A
Nominal value: 1 000 USD
The redenomination to EUR took place in the evening of September 25, 2018; more information here.