Last update: 05.12.2025 11:17 (GMT+2)

Lith. Gov. 10Y Euro-bond 21228 (03.12.2025)

Vilnius market | Baltic First North Foreign Bonds

LTGEB387533A  |  ISIN XS2604821228

Security information

Number of listed securities 1,260,000
Nominal 1,000 EUR
Issue value 1,260,000,000 EUR
Listing date 15.04.2025
Maturity date 14.06.2033
Coupon rate (%) 3.875
Next coupon payment date 14.06.2026

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