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JSC “Rietumu Banka” will perform bond issue
Emitents Rietumu banka, AS (2138007F5HA5FFJROB80)
Veids Citi
Valoda EN
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Datums 2015-10-16 16:55:07
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JSC “Rietumu Banka” under the Third Bond Offer Program will perform two new issues of two-year coupon bonds.

After the settlement, the bonds will be included in regulated market and will be listed on the NASDAQ OMX Riga stock exchange.

The subscription to all of the bond issues will begin on 22nd of October, 2015 and will last till 26th of November, 2015.

The bonds will be issued in USD and EUR with the following parameters:

21 000 000 USD bond issue (ISIN: LV0000801918, USDSN-1)

Issue size: 21 000 000 USD

Number of bonds: 280

Nominal value of one bond: 75 000 USD

Fixed interest rate: 2.25%

Frequency of coupon payment: semi-annually

Initial placementprice: 100% of the nominal value

Issue date: 10th of December, 2015

Maturity date: 10th of December, 2017.

10 000 000 EUR bond issue (ISIN: LV0000801900, EURSN-1)

Issue size: 10 000 000 EUR

Numberof bonds: 200

Nominal value of one bond: 50 000 EUR

Fixed interest rate: 2.00%

Frequency of coupon payment: semi-annually

Initial placementprice: 100% of the nominal value

Issue date: 10th of December, 2015

Maturity date: 10th of December, 2017.

 

Eleonora Gailisha
Mass Media and Public Relations
Phone: +371-67020506
Fax: +371-67020563
E-mail: 
egailisha@rietumu.lv

Pielikumi
EUR_First Series Final Terms_3rd Offer Programme.pdf (515.14 kB)
USD_First Series Final Terms_3rd Offer Programme.pdf (516.32 kB)