This website uses cookies – including third-party cookies – for the improvement of the quality of content and adaptation it to the users' needs. By continuing to use this website, you consent to the use of cookies.
Agree
Menu
The Central Storage of
Regulated Information
Home
Contacts
lv
en
lv
en
Selection criteria
Language
All languages
LV
EN
1. Periodic information
1.1 Annual financial reports
1.2 Half-yearly financial report
1.3 Interim management statements
2. Periodic information
2.1. Home Member State
2.2. Inside information
2.3. Major shareholding notifications
2.4. Acquisition or disposal of the issuer's own shares
2.5. Total number of voting rights and capital
2.6. Changes in the rights attaching to the classes of shares or securities
3. Additional regulated information required to be disclosed under the laws of a Member State
3.1. Additional regulated information required to be disclosed under the laws of a Member State
Till 2017.03.01
Financial Reports
Significant Events
Information on Shareholders Meetings
Notifications on Holding
Notifications on transactions of Holders of Inside Information
Other
LATEST DOCUMENTS (24735)
Date Time
Issuer
Version
Language
Title
2025-09-25 05:52:45
DelfinGroup, AS (iepriekšējais nosaukums - ExpressCredit, SIA)
1
EN
DelfinGroup registers new subordinated unsecured notes issue in amount of EUR 5 million
2025-09-24 12:09:02
Storent Europe, AS
1
EN
Storent Holding: Noteholder Voting Deadline is 26 September 2025
2025-09-24 12:08:44
Storent Europe, AS
1
LV
Storent Holding: obligacionāru balsošanas termiņš - 2025. gada 26. septembris
2025-09-24 06:41:07
Citadele banka, AS
1
EN
Notice on Results of Cash Tender Offer of the EUR 200,000,000 Fixed / Floating Rate Notes due 2026 (ISIN: XS2393742122)
2025-09-24 06:40:44
Citadele banka, AS
1
LV
Paziņojums par EUR 200 000 000 fiksēto/manīgo procentu likmju obligāciju ar dzēšanas termiņu 2026. gadā (ISIN: XS2393742122) atpirkšanas piedāvājuma rezultātiem
2025-09-24 06:15:57
Citadele banka, AS
1
EN
Notice on early redemption of the € 35,000,000 Senior Preferred Bonds of AS Citadele banka (ISIN Code LV0000804334)
2025-09-24 06:15:08
Citadele banka, AS
1
LV
Paziņojums par AS “Citadele banka” € 35,000,000 augstākās prioritātes obligāciju pirmstermiņa dzēšanu (ISIN kods: LV0000804334)
2025-09-23 13:28:29
PN Project, AS
1
LV
AS PN Project ceturtajā obligāciju emisijā pārsniedz mērķi un piesaista 3,85 miljonus eiro
2025-09-23 13:26:24
PN Project, AS
1
EN
AS PN Project raises EUR 3.85 million in fourth bond tranche, exceeding target
2025-09-23 13:19:19
DelfinGroup, AS (iepriekšējais nosaukums - ExpressCredit, SIA)
1
LV
DelfinGroup LV0000802718 obligāciju apmaiņas piedāvājuma rezultāti
2025-09-23 13:19:11
DelfinGroup, AS (iepriekšējais nosaukums - ExpressCredit, SIA)
1
EN
DelfinGroup LV0000802718 note exchange offer results
2025-09-22 14:27:27
Amber Latvijas balzams, AS
4
EN
Amber Latvijas balzams - Annual Report with Auditor's Opinion. AS “Amber Latvijas balzams” announces its financial results for the year 2024.
2025-09-22 14:26:57
Amber Latvijas balzams, AS
5
LV
Amber Latvijas balzams - Gada pārskats ar zvērināta revidenta atzinumu. AS “Amber Latvijas balzams” paziņo finanšu rezultātus par 2024. gadu
2025-09-22 13:44:14
DelfinGroup, AS (iepriekšējais nosaukums - ExpressCredit, SIA)
1
EN
DelfinGroup announces fixing of coupon rate for the floating-rate bonds effective from 25 September 2025
2025-09-22 13:44:08
DelfinGroup, AS (iepriekšējais nosaukums - ExpressCredit, SIA)
1
LV
DelfinGroup paziņo jauno piemērojamo kupona likmi obligācijām, kas stājas spēkā no 2025. gada 25. septembra
2025-09-17 08:47:01
Citadele banka, AS
1
EN
AS Citadele banka successfully places EUR 300 million bond issue in international markets
2025-09-17 08:46:54
Citadele banka, AS
1
LV
AS Citadele banka veiksmīgi pabeigusi 300 miljonu eiro obligāciju emisiju starptautiskajos tirgos
2025-09-16 13:16:40
Longo Group, AS
4
LV
Longo Group AS neauditētais starpperiodu pārskats par periodu līdz 2025. gada 30. jūnijam
2025-09-16 13:15:16
Longo Group, AS
4
EN
Longo Group AS unaudited financial report for period ended 30 June 2025
2025-09-15 12:44:47
BluOr Bank, AS
1
EN
BluOr Bank informs about the planned bond issue
29
30
31
32
33
34
35
36
37
38