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Investor Relations

Rietumu Bonds

On December 22, 2015 Rietumu issued bonds with the following parameters:

7 500 000 USD bond issue (ISIN: LV0000801975)
Issue size:7 500 000 USD
Number of bonds:100
Face value of one bond:75 000 USD
Fixed annual interest rate:2.25%
Coupon payment:twice a year
Initial placement price:100% of the face value
Issue date:22nd of December, 2015
Maturity date:22nd of December, 2017

On December 10, 2015 Rietumu issued two bonds with the following parameters:

21 000 000 USD bond issue (ISIN: LV0000801918)

Issue size:21 000 000 USD
Number of bonds:280
Face value of one bond:75 000 USD
Fixed annual interest rate:2.25%
Coupon payment:twice a year
Initial placement price:100% of the face value
Issue date:10th of December, 2015
Maturity date:10th of December, 2017

10 000 000 EUR bond issue (ISIN: LV0000801900)

Issue size:10 000 000 EUR
Number of bonds:200
Face value of one bond:50 000 EUR
Fixed annual interest rate:2.00%
Coupon payment:twice a year
Initial placement price:100% of the face value
Issue date:10th of December, 2015
Maturity date:10th of December, 2017

Product factsheet
Product presentation

Rietumu Bank bonds are included in the list of debt instruments of Nasdaq OMX Riga. Investors are able to buy and sell these financial instruments on secondary market.

Rietumu Bank bonds could be acquired by private and corporate investors.

Prospectus of the Bonds Offer
Final Terms of the Bonds in EUR (First Serie)
Final Terms of the Bonds in USD (First Serie)
Final Terms of the Bonds in USD (Second Serie)

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