Security information

ISIN LV0000860120
Ticker ECOB080026FA
List/segment First North Corporate bonds
Number of listed securities 8,000
Nominal 1,000 EUR
Issue value 8,000,000 EUR
Listing date 02.03.2023
Maturity date 17.02.2026
Coupon rate (%) 8
Next coupon payment date 17.02.2024