Bonds
ISIN
LV0000802676
Nominal value of the issue
EUR 15 000 000
Annual Coupon Rate
3M EURIBOR + 6.5%
Maturity
9 December 2025
Financial calendar
February
Publication of results - twelve months 2022
April
Publication of the Integrated Annual report 2022
May
Publication of results - three months 2023
August
Publication of results - six months 2023
November
Publication of results - nine months 2023