Last update: 12.12.2025 19:45 (GMT+2)

Baltic Regulated market

Corporate bonds 67 issues

Name Ticker Coupon
Rate %
Maturity Nominal Accrued
Interest %
Ask Bid Ask Bid Trades Turnover € Issued Home
Market
Last trading day Last trade price dirty Last trade price clean My
STOH110025A 11 21.12.2025 100 EUR - - 100 99.2 1 1,389 21.06.2023 RIG 16.12.2025 99.2 99.2
AEIB050025A 8.5 15.06.2026 500 EUR 0.047222 - - - - 0 0 14.12.2021 VLN 03.06.2026 - -
STOH100026A 10 21.09.2026 100 EUR -0.138889 100.3 99.74 100.161111 99.601111 3 6,494 21.03.2024 RIG 15.09.2026 100.161111 100.3
IUTE110026A 11 06.10.2026 100 EUR 2.145604 102.2 100.27 104.345604 102.415604 2 2,920 06.10.2021 TLN 30.09.2026 104.345604 102.2
TWXB085026A 8.5 06.10.2026 1,000 EUR 1.657967 101.4945 100 103.152467 101.657967 0 0 06.09.2024 VLN 28.09.2026 - -
ALTM004426A 0.443 08.10.2026 1,000 EUR 0.083745 - 98.15 - 98.233745 0 0 08.10.2021 RIG 23.09.2026 - -
PKGB080024A 9 31.10.2026 2.38 EUR 3.8 - - - - 0 0 27.05.2020 TLN 27.10.2026 - -
AEIB085026A 8.5 04.12.2026 1,000 EUR 0.986188 99.013812 - 100 - 0 0 04.11.2025 VLN 24.11.2026 - -
KVRTB080026A 8 19.12.2026 100 EUR -0.065574 101.25 100.75 101.184426 100.684426 0 0 19.12.2024 VLN 10.12.2026 - -
ASTB005027A 0.5 20.01.2027 1,000 EUR 0.452055 - 96.9 - 97.352055 0 0 20.10.2021 RIG 08.01.2027 - -
AMBEFLOT27A 9.493 31.03.2027 1,000 EUR 2.004078 86.5 86 88.504078 88.004078 1 880 21.04.2023 RIG 19.03.2027 88.004078 86
GREG100027A 10 16.04.2027 100 EUR 0.444444 102 100.7 102.444444 101.144444 1 102 19.04.2024 RIG 12.04.2027 101.964444 101.52
ELEK024227A 2.42 05.05.2027 1,000 EUR 1.491781 - - - - 0 0 05.05.2022 RIG 20.04.2027 - -
PNP100027A 10 04.06.2027 1,000 EUR 0.328767 101 99.619 101.328767 99.947767 1 1,013 04.06.2025 RIG 31.05.2027 101.328767 101
EPSO0311727A 3.117 08.06.2027 1,000 EUR 1.631088 - - - - 0 0 08.06.2022 VLN 31.05.2027 - -
IVLB070027A 7 14.06.2027 1,000 EUR 0.038889 - - - - 0 0 14.06.2024 VLN 04.06.2027 - -
VIKA0282627A 2.826 30.06.2027 1,000 EUR 1.308477 - - - - 0 0 30.06.2022 VLN 23.06.2027 - -
IGNB020027A 2 14.07.2027 1,000 EUR 0.849315 - - - - 0 0 14.07.2017 VLN 08.07.2027 - -
GREG100027B 10 30.08.2027 100 EUR 0.444444 103 100.5 103.444444 100.944444 0 0 30.08.2024 RIG 24.08.2027 - -
LNGB100027A 10 30.11.2027 100 EUR 0.444444 102 98 102.444444 98.444444 3 990 29.11.2024 RIG 24.11.2027 98.444444 98
AEIB080027A 8 13.12.2027 1,000 EUR 0.065934 - - - - 0 0 13.06.2025 VLN 01.12.2027 - -
ADMB080027A 8 28.12.2027 100 EUR 3.733333 99 94 102.733333 97.733333 1 103 28.12.2017 TLN 22.12.2027 102.733333 99
PRFB062525A 0 31.03.2028 100 EUR - - 47.86 30.01 0 0 22.01.2020 TLN 24.03.2028 - -
NHCBFLO28A 9.99 08.05.2028 45,238.09 EUR 1.040055 - - - - 0 0 08.05.2023 TLN 25.04.2028 - -
ELEK005028A 0.5 17.05.2028 1,000 EUR 0.291781 - - - - 0 0 17.05.2021 RIG 02.05.2028 - -
LVNB105028A 10.5 23.05.2028 1,000 EUR 0.670833 102 100 102.670833 100.670833 0 0 23.05.2024 TLN 17.05.2028 - -
ESTE050028A 5 04.06.2028 100 EUR 0.166667 103.2 102.55 103.366667 102.716667 2 35,232 04.06.2025 TLN 29.05.2028 102.716667 102.55
IGNB0187528A 1.875 10.07.2028 1,000 EUR 0.816781 - - - - 0 0 10.07.2018 VLN 04.07.2028 - -
ARCB088028A 8.8 24.09.2028 100 EUR 2.004444 101.74 101.32 103.744444 103.324444 7 8,072 24.09.2025 TLN 15.09.2028 103.744444 101.74
DGRB100028A 10 25.09.2028 100 EUR 0.583333 101.966667 101 102.55 101.583333 2 1,635 20.09.2024 RIG 19.09.2028 101.583333 101
STOH100028A 10 25.10.2028 100 EUR 1.416667 99.94 97 101.356667 98.416667 6 5,828 25.04.2025 RIG 19.10.2028 100.286667 98.87
ELEV130028A 13 31.10.2028 100 EUR 1.625 109 106.005 110.625 107.63 7 6,903 31.10.2023 RIG 25.10.2028 108.625 107
HPRB095028A 9.5 26.11.2028 1,000 EUR 0.527778 101.39 100.11 101.917778 100.637778 1 1,006 26.11.2025 TLN 20.11.2028 100.647778 100.12
ELEK0495229A 4.952 22.02.2029 1,000 EUR 4.029436 - - - - 0 0 22.02.2023 RIG 16.02.2029 - -
LVNB090029A 9 19.03.2029 1,000 EUR 2.175 99.9 96.490001 102.075 98.665001 0 0 19.03.2025 TLN 13.03.2029 - -
BORA070029A 7 01.06.2029 1,000 EUR 0.291667 - - - - 0 0 01.06.2022 RIG 22.05.2029 - -
STOH100029A 10 05.06.2029 100 EUR 0.305556 - - - - 0 0 05.12.2025 RIG 30.05.2029 - -
SUMC080029A 8 30.06.2029 1,000 EUR 1.688889 101.49 101 103.178889 102.688889 0 0 30.06.2025 TLN 20.06.2029 - -
CIVB100029A 10 17.07.2029 1,000 EUR 4.130435 105 101.5 109.130435 105.630435 0 0 17.07.2025 VLN 09.07.2029 - -
VIKA0311929A 3.119 24.09.2029 1,000 EUR 0.709252 - - - - 0 0 24.09.2025 VLN 14.09.2029 - -
AKRB060030A 6 15.05.2030 1,000 EUR 3.534247 105.5 102 109.034247 105.534247 0 0 15.05.2025 VLN 25.04.2030 - -
IGNB020030A 2 21.05.2030 1,000 EUR 1.145205 - - - - 0 0 21.05.2020 VLN 15.05.2030 - -
ALTM035730A 3.576 30.05.2030 1,000 EUR 1.959452 - - - - 0 0 30.05.2025 RIG 24.05.2030 - -
H2O040030A 4 04.06.2030 100 EUR 0.133333 - 99.15 - 99.283333 0 0 04.06.2025 RIG 29.05.2030 - -
ELEV095030A 9.5 24.10.2030 1,000 EUR 1.383242 105 103 106.383242 104.383242 1 1,064 24.10.2025 RIG 18.10.2030 106.383242 105
ELEK361230A 3.612 13.11.2030 1,000 EUR 0.326564 - - - - 0 0 13.11.2025 RIG 07.11.2030 - -
IUTE120030A 12 06.12.2030 100 EUR 0.32967 100 99.85 100.32967 100.17967 21 189,623 06.06.2025 TLN 31.05.2030 100.32967 100
ADMG080031A 8 05.02.2031 100 EUR 2.911111 96.5 89.19 99.411111 92.101111 0 0 05.02.2021 TLN 29.01.2031 - -
CPAB055031A 5.5 31.03.2031 1,000 EUR 1.161111 102.2 101 103.361111 102.161111 0 0 31.03.2021 TLN 24.03.2031 - -
CBLB050031A 5 13.12.2031 10,000 EUR 0.041209 101.5 98.75 101.541209 98.791209 0 0 13.12.2021 RIG 28.11.2031 - -
INBB055031A 5.5 15.12.2031 1,000 EUR 1.191667 100.99 98.7 102.181667 99.891667 0 0 15.12.2021 TLN 09.12.2031 - -
CPAB050032A 5 10.03.2032 1,000 EUR 1.055556 - 99 - 100.055556 0 0 10.03.2022 TLN 03.03.2032 - -
BIGB080032A 8 21.09.2032 1,000 EUR 1.888889 104.261111 102.6 106.15 104.488889 2 5,247 21.09.2022 TLN 15.09.2032 104.898889 103.01
BIGB080033A 8 16.02.2033 1,000 EUR 0.666667 105.999999 104 106.666666 104.666667 3 4,246 16.02.2023 TLN 09.02.2033 104.666667 104
SABB107533A 10.75 22.06.2033 1,000 EUR 5.213014 114.9 110 120.113014 115.213014 0 0 22.06.2023 VLN 14.06.2033 - -
LHVB105033A 10.5 29.09.2033 1,000 EUR 2.245833 117.69 116.6 119.935833 118.845833 5 8,343 29.09.2023 TLN 23.09.2033 118.855833 116.61
BIGB080033B 8 30.11.2033 1,000 EUR 0.355556 106.694 106.55 107.049556 106.905556 0 0 30.11.2023 TLN 24.11.2033 - -
INBB090033A 9 13.12.2033 1,000 EUR 1.95 108.99 108 110.94 109.95 0 0 13.12.2023 TLN 06.12.2033 - -
CBLB080034A 8 05.04.2034 10,000 EUR 1.582418 107.5 105.5 109.082418 107.082418 0 0 05.04.2024 RIG 30.03.2034 - -
SABB077034A 7.7 22.05.2034 1,000 EUR 0.513333 107.946667 102.8 108.46 103.313333 1 3,253 22.05.2024 VLN 12.05.2034 108.443333 107.93
BIGB070034A 7 29.05.2034 1,000 EUR 0.019444 104 103.5 104.019444 103.519444 0 0 29.05.2024 TLN 23.05.2034 - -
BORA100034A 10 02.10.2034 1,000 EUR 2.055556 106.5 105.31 108.555556 107.365556 1 2,181 02.10.2024 RIG 26.09.2034 109.055556 107
BIGB065034A 6.5 23.10.2034 1,000 EUR 0.018056 103 101 103.018056 101.018056 1 4,041 23.10.2024 TLN 16.10.2034 101.018056 101
LHVB060034A 6 15.11.2034 1,000 EUR 0.516667 104.74 102.01 105.256667 102.526667 1 4,185 15.11.2024 TLN 08.11.2034 104.616667 104.1
BIGB065035A 6.5 27.06.2035 1,000 EUR 0.018056 103.98 101.04 103.998056 101.058056 0 0 27.06.2025 TLN 21.06.2035 - -
INBB062535A 6.25 09.10.2035 1,000 EUR 1.163194 104.9 101.8 106.063194 102.963194 0 0 09.10.2025 TLN 03.10.2035 - -
URBO070035A 7 21.10.2035 1,000 EUR 1.069444 102.8 - 103.869444 - 0 0 21.10.2025 VLN 12.10.2035 - -

Total
Corporate bonds

Corporate bonds Total Trades Turnover €
  74 294,737

Government bonds 14 issues

Name Ticker Coupon
Rate %
Maturity Nominal Accrued
Interest %
Ask Yield Bid Yield Ask Bid Ask Bid Trades Turnover € Issued Home
Market
Last trading day Last trade price dirty Last trade price clean My
LTGB00026B 0 22.01.2026 100 EUR - - - - - - 0 0 22.07.2020 VLN 16.01.2026 - -
LTGB00026C 0 02.06.2026 100 EUR - - - - - - 0 0 02.06.2021 VLN 27.05.2026 - -
LTGB39026D 3.9 02.08.2026 100 EUR 1.4532 - - - - - - 0 0 02.08.2023 VLN 28.07.2026 - -
ETGB033026A 3.3 16.09.2026 100 EUR 0.82274 1.538582 2.070811 101.3 100.9 102.12274 101.72274 4 5,304 16.09.2024 TLN 09.09.2026 102.00274 101.18
LTGB01026A 0.1 27.11.2026 100 EUR 0.0052 - - - - - - 0 0 27.11.2019 VLN 23.11.2026 - -
LTGB11027A 1.1 26.04.2027 100 EUR 0.7052 - - - - - - 0 0 26.04.2017 VLN 20.04.2027 - -
LVGB000027A 0 03.07.2027 1,000 EUR - - - - - - 0 0 03.07.2020 RIG 29.06.2027 - -
LTGB23027B 2.3 13.07.2027 100 EUR 0.983 - - - - - - 0 0 13.07.2022 VLN 07.07.2027 - -
LTGB00028B 0 03.03.2028 100 EUR - - - - - - 0 0 03.03.2021 VLN 28.02.2028 - -
LTGGB12028A 1.2 03.05.2028 100 EUR 0.7463 - - - - - - 0 0 03.05.2018 VLN 27.04.2028 - -
LTGB27028D 2.7 05.08.2028 100 EUR 0.9838 2.538089 - 100.4 - 101.3838 - 0 0 05.02.2025 VLN 01.08.2028 - -
LTGB02029A 0.2 28.08.2029 100 EUR 0.0603 - - - - - - 0 0 28.08.2019 VLN 22.08.2029 - -
LTGB24029B 2.4 15.12.2029 100 EUR 0.0066 - - - - - - 0 0 15.06.2022 VLN 11.12.2029 - -
LTGB03032A 0.3 12.02.2032 100 EUR 0.2523 - - - - - - 0 0 12.02.2020 VLN 06.02.2032 - -

Total
Government bonds

Government bonds Total Trades Turnover €
  4 5,303

Grand total
Baltic Regulated market

Baltic Regulated market Trades Turnover €
Grand total 78 300,053.01

First North (Baltic MTF)

Nasdaq First North is a multilateral trading facility (MTF), also known as an Alternative Market, operated by the different exchanges within Nasdaq. It does not have the legal status of an EU regulated market. Companies on First North are subject to the rules of First North and not the legal requirements for listing or admission to trading on a regulated market.

First North Corporate bonds 57 issues

For First North Baltic Bond List instruments until May 15, 2017 the prices are indicated in monetary dimension. Starting from May 15th, 2017 the prices are indicated in percentage of the nominal value.

Name Ticker Coupon
Rate %
Maturity Nominal Accrued
Interest %
Ask Bid Ask Bid Trades Turnover € Issued Home
Market
Last trading day Last trade price dirty Last trade price clean My
ELGB060026FA 6 12.02.2026 1,000 EUR 2.066667 100.25 100 102.316667 102.066667 2 102,317 12.02.2021 RIG 02.02.2026 102.316667 100.25
ECOB080026FA 8 17.02.2026 1,000 EUR 2.644444 - - - - 0 0 17.02.2023 RIG 11.02.2026 - -
DGRBFLOT26FA 11.016 25.02.2026 1,000 EUR 0.6426 101.8774 100 102.52 100.6426 0 0 23.08.2023 RIG 19.02.2026 - -
HEROBFLOT26FA 8.127 18.05.2026 1,000 EUR 0.623441 100 99 100.623441 99.623441 0 0 18.05.2023 VLN 06.05.2026 - -
ARSEN120026FA 12 31.05.2026 1,000 EUR 0.533333 99.9 - 100.433333 - 0 0 30.11.2023 RIG 26.05.2026 - -
MAYB047526FA 4.75 10.06.2026 100 EUR 0.079167 100 98.5 100.079167 98.579167 0 0 10.06.2021 TLN 01.06.2026 - -
YLSTN110026FA 11 16.06.2026 1,000 EUR - - - - 0 0 16.12.2024 VLN 09.06.2026 - -
AGAB110026FA 11 28.06.2026 100 EUR 2.383333 - - - - 0 0 28.06.2024 VLN 19.06.2026 - -
CPTBFLO26FA 8.036 29.06.2026 1,000 EUR 3.727811 100.399 - 104.126811 - 0 0 26.03.2024 VLN 19.06.2026 - -
UPPB080022FA 7 17.07.2026 1,000 EUR 1.147222 - - - - 0 0 17.04.2017 TLN 09.07.2026 - -
FERN090026FA 9 13.09.2026 1,000 EUR 0.075 - - - - 0 0 13.09.2024 VLN 04.09.2026 - -
15MIN098026FA 9.8 28.10.2026 1,000 EUR 1.306667 - 100 - 101.306667 0 0 28.10.2024 VLN 20.10.2026 - -
ECOB090026FA 9 02.11.2026 1,000 EUR 1.1 - 100.5 - 101.6 0 0 02.11.2023 RIG 27.10.2026 - -
DGRBFLOT26FB 11.016 25.11.2026 1,000 EUR 0.6426 103.85 100.9 104.4926 101.5426 0 0 23.11.2023 RIG 19.11.2026 - -
SIGR115026FA 11.5 29.11.2026 1,000 EUR 0.540055 106.6 100.5 107.140055 101.040055 0 0 29.11.2024 VLN 20.11.2026 - -
ZLVB095026FA 9.5 02.12.2026 1,000 EUR 0.369444 105 100.4 105.369444 100.769444 0 0 02.12.2024 VLN 24.11.2026 - -
MAPONFLOT27FA 6.993 08.03.2027 1,000 EUR 1.4763 101.8 - 103.2763 - 0 0 08.03.2024 RIG 02.03.2027 - -
MAYB085027FA 8.5 10.03.2027 100 EUR 2.266667 103 100.4 105.266667 102.666667 1 5,263 06.03.2023 TLN 01.03.2027 105.266667 103
TUUL100027FA 10 29.03.2027 500 EUR 2.138889 43.5 40 45.638889 42.138889 0 0 29.03.2022 TLN 22.03.2027 - -
NDSPC120027FA 12 31.03.2027 1,000 EUR 2.533333 103 101.25 105.533333 103.783333 0 0 04.04.2025 VLN 19.03.2027 - -
FASTL120027FA 12 20.05.2027 1,000 EUR 0.847826 103.5 103 104.347826 103.847826 1 1,038 20.05.2024 VLN 12.05.2027 103.847826 103
SUMC095027FA 9.5 11.06.2027 1,000 EUR 0.131944 102.2 101.55 102.331944 101.681944 0 0 11.06.2024 RIG 07.06.2027 - -
ICOTNFLOT27FA 7.993 30.06.2027 1,000 EUR 1.687411 100.75 99 102.437411 100.687411 0 0 22.12.2023 RIG 22.06.2027 - -
KAITA115027FA 11.5 15.07.2027 1,000 EUR 4.8125 100.5 95.1875 105.3125 100 2 7,383 15.07.2025 VLN 07.07.2027 105.345 100.5325
REFIE080027FA 8 20.08.2027 1,000 EUR 0.577778 102.9 98 103.477778 98.577778 0 0 20.02.2025 VLN 13.08.2027 - -
HEST045027FA 4.5 01.09.2027 0.01 EUR 0.95 - - - - 0 0 20.12.2022 RIG 26.08.2027 - -
MODE110027FA 11 13.09.2027 500 EUR 1.313889 104.8 100 106.113889 101.313889 0 0 13.09.2024 TLN 07.09.2027 - -
LEBAFLOAT27FA 8.303 10.10.2027 1,000 EUR 1.522217 - - - - 0 0 10.04.2024 VLN 04.10.2027 - -
ENERV110027FA 11 25.10.2027 1,000 EUR 1.558333 - - - - 0 0 25.04.2025 VLN 15.10.2027 - -
VNGAM100027FA 10 29.10.2027 1,000 EUR 1.318681 102.3 - 103.618681 - 1 1,036 29.04.2025 VLN 21.10.2027 103.618681 102.3
CCLAT080027FA 8 31.10.2027 1,000 EUR 1.688889 100.5 100 102.188889 101.688889 0 0 31.10.2024 RIG 26.10.2027 - -
REFIG085027FA 8.5 05.11.2027 1,000 EUR 0.968056 - - - - 0 0 05.11.2025 VLN 28.10.2027 - -
S3B080027FA 8 29.11.2027 1,000 EUR 0.375691 102 100.25 102.375691 100.625691 0 0 29.05.2025 VLN 19.11.2027 - -
SUNB110027FA 11 30.11.2027 1,000 EUR 0.488889 103.5 100.75 103.988889 101.238889 0 0 22.05.2024 RIG 24.11.2027 - -
NDTB100027FA 10 17.12.2027 1,000 EUR -0.027322 102 100.179322 101.972678 100.152 0 0 17.12.2024 VLN 09.12.2027 - -
FASTL090027FA 9 20.12.2027 1,000 EUR 2.151099 101 - 103.151099 - 2 3,015 20.12.2024 VLN 13.12.2027 101.151099 99
DAMBFLOT28FA 9.901 15.01.2028 1,000 EUR 1.668103 - - - - 0 0 15.07.2025 VLN 05.01.2028 - -
REFIS085028FA 8.5 19.02.2028 1,000 EUR 0.628767 100 - 100.628767 - 0 0 19.08.2025 VLN 11.02.2028 - -
COFAD085028FA 8.5 28.02.2028 1,000 EUR 0.377778 104 101 104.377778 101.377778 0 0 28.02.2025 RIG 22.02.2028 - -
VLIB090028FA 9 30.03.2028 1,000 EUR 0.4 100.8 - 101.2 - 1 2,008 30.05.2025 VLN 22.03.2028 100.4 100
PBGB090028FA 9 14.04.2028 1,000 EUR 1.55 105 - 106.55 - 0 0 14.10.2025 VLN 06.04.2028 - -
HISK090028FA 9 22.04.2028 1,000 EUR 1.35 100.175 98 101.525 99.35 0 0 22.07.2025 VLN 14.04.2028 - -
HOTB090028FA 9 25.04.2028 1,000 EUR 2.025 103.899 - 105.924 - 0 0 25.06.2025 VLN 17.04.2028 - -
BANGA070028FA 7 08.05.2028 1,000 EUR 0.738889 - - - - 0 0 08.05.2025 RIG 02.05.2028 - -
FOUR112528FA 11.25 23.05.2028 1,000 EUR 0.703125 - - - - 0 0 23.05.2016 RIG 17.05.2028 - -
EVKB110028FA 11 04.06.2028 1,000 EUR 0.366667 106.9 103.803 107.266667 104.169667 2 5,288 04.06.2025 TLN 30.05.2028 108.166667 107.8
DGRBFLOT28FA 13.516 25.07.2028 1,000 EUR 0.788433 - 100.9 - 101.688433 0 0 25.07.2023 RIG 19.07.2028 - -
UHIB085028FA 8.5 24.09.2028 1,000 EUR 1.948895 102 100 103.948895 101.948895 0 0 24.09.2025 VLN 15.09.2028 - -
SUNB100028FA 10 29.09.2028 1,000 EUR 0.5 100 99.5 100.5 100 0 0 07.04.2025 RIG 25.09.2028 - -
EVKB100028FA 10 22.10.2028 1,000 EUR 1.5 101.5 95.50001 103 97.00001 0 0 22.10.2025 TLN 12.10.2028 - -
LATRA075028FA 7.5 12.12.2028 1,000 EUR 1.583333 100.75 - 102.333333 - 0 0 12.12.2024 RIG 06.12.2028 - -
LEBAFLOT29FA 8.313 10.01.2029 1,000 EUR 0.13855 - - - - 0 0 10.03.2025 VLN 02.01.2029 - -
DGRBFLOT29FA 13.016 25.05.2029 1,000 EUR 0.759267 - 101.01 - 101.769267 0 0 31.05.2024 RIG 21.05.2029 - -
INVLV110029FA 11 29.05.2029 1,000 EUR 0.519444 106.5 106 107.019444 106.519444 1 1,067 29.05.2025 TLN 23.05.2029 106.719444 106.2
OCVB060029FA 6 20.06.2029 100 EUR -0.066667 100.25 100 100.183333 99.933333 0 0 20.06.2025 RIG 14.06.2029 - -
RTOB120029FA 12 18.07.2029 1,000 EUR 1.923913 - - - - 0 0 18.07.2022 VLN 12.07.2029 - -
HLMBK095034FA 9.5 30.05.2034 1,000 EUR 0.422222 117 110.023 117.422222 110.445222 2 2,328 30.05.2024 TLN 24.05.2034 116.422222 116

Total
First North Corporate bonds

First North Corporate bonds Total Trades Turnover €
  15 130,740

Baltic First North Foreign Bonds 23 issues

Baltic First North Foreign Bonds is administered by the operator of the regulated market AB Nasdaq Vilnius and means the multilateral trading facility not having the regulated market status. Full disclaimer is available here.

Name Ticker Coupon
Rate %
Maturity Nominal Accrued
Interest %
Ask Bid Ask Bid Trades Turnover € Issued Home
Market
Last trading day Last trade price dirty Last trade price clean My
AZEBFLOT26FA 8.782 02.10.2026 1,000 EUR 1.829583 - - - - 0 0 02.10.2023 VLN 25.09.2026 - -
LTGEB212526A 2.125 29.10.2026 1,000 EUR 0.2795 - - - - 0 0 29.10.2014 VLN 23.10.2026 - -
LTGEB095027C 0.95 26.05.2027 1,000 EUR 0.531 - - - - 0 0 26.05.2017 VLN 20.05.2027 - -
SLRBFLOT27FA 8.944 09.10.2027 1,000 EUR 1.689422 100 - 101.689422 - 0 0 09.04.2024 VLN 04.10.2027 - -
LTGEB412528C 4.125 25.04.2028 1,000 EUR 2.6558 - - - - 0 0 25.10.2022 VLN 20.04.2028 - -
GEVBFLOT28FA 6.493 26.12.2028 1,000 EUR 1.460925 103.5 98 104.960925 99.460925 0 0 26.03.2025 VLN 13.12.2028 - -
LTGEB05029A 0.5 19.06.2029 1,000 EUR 0.2466 - - - - 0 0 19.06.2019 VLN 14.06.2029 - -
FTCBFLOT27FA 10.5 22.07.2029 1,000 EUR 1.604167 - - - - 0 0 22.07.2022 VLN 15.07.2029 - -
LFTBFLOT29FA 9.069 29.08.2029 1,000 EUR 11.94085 - - - - 0 0 29.08.2024 VLN 22.08.2029 - -
LTGEB287530A 2.875 28.01.2030 1,000 EUR 2.5363 - - - - 0 0 28.01.2025 VLN 25.01.2030 - -
SGLBFLOT30FA 6.765 22.04.2030 1,000 EUR 1.033542 101 - 102.033542 - 0 0 22.04.2024 VLN 15.04.2030 - -
LTGEB075030B 0.75 06.05.2030 1,000 EUR 0.4603 - - - - 0 0 06.05.2020 VLN 30.04.2030 - -
SGLBFLOT331A 6.304 24.02.2031 1,000 EUR 0.385244 - - - - 0 0 24.02.2025 VLN 17.02.2031 - -
LTGEB350031A 3.5 03.07.2031 1,000 EUR 1.5918 - - - - 0 0 03.07.2024 VLN 30.06.2031 - -
LTGEB212532A 2.125 01.06.2032 1,000 EUR 1.1527 - - - - 0 0 01.06.2022 VLN 26.05.2032 - -
LTGEB387533A 3.875 14.06.2033 1,000 EUR 1.964 - - - - 0 0 14.06.2023 VLN 08.06.2033 - -
LTGEB350034A 3.5 13.02.2034 1,000 EUR 2.9342 - - - - 0 0 13.02.2024 VLN 07.02.2034 - -
LTGEB212535A 2.125 22.10.2035 1,000 EUR 0.3202 - - - - 0 0 22.10.2015 VLN 16.10.2035 - -
LTGEB362540A 3.625 28.01.2040 1,000 EUR 3.1979 - - - - 0 0 28.01.2025 VLN 24.01.2040 - -
LTGEB210047A 2.1 26.05.2047 1,000 EUR 1.1737 - - - - 0 0 26.05.2017 VLN 21.05.2047 - -
LTGEB162549A 1.625 19.06.2049 1,000 EUR 0.8014 - - - - 0 0 19.06.2019 VLN 15.06.2049 - -
LTGEB050050A 0.5 28.07.2050 1,000 EUR 0.1932 - - - - 0 0 28.07.2020 VLN 22.07.2050 - -
LTGEB075051A 0.75 15.07.2051 1,000 EUR 0.3164 - - - - 0 0 15.07.2021 VLN 11.07.2051 - -

Total
Baltic First North Foreign Bonds

Baltic First North Foreign Bonds Total Trades Turnover €
  0 0

Grand total
Baltic Regulated market
& First North (Baltic MTF)

Baltic Regulated market
& First North (Baltic MTF)
Trades Turnover €
Grand total 93 430,796.7

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