Last update: 22.10.2024 17:29 (GMT+3)

Bond list

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Baltic Regulated market

Corporate bonds 59 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
AUGB060024A 6 17.12.2024 1,000 EUR 5.2 92 86.501 97.2 91.701 3 19,000 17.12.2019 VLN 10.12.2024 95 89.8
ORKL060025A 6 19.01.2025 1,000 EUR 1.581522 - - - - 1 980 19.01.2022 VLN 10.01.2025 98 96.418478
PRFB062525A 6.25 22.01.2025 100 EUR 4.722222 78 55.33 82.722222 60.052222 1 601 22.01.2020 TLN 15.01.2025 60.052222 55.33
ALTM013025A 1.3 07.03.2025 1,000 EUR 0.82274 99.24 - 100.06274 - 0 0 07.03.2018 RIG 20.02.2025 - -
VIKA006525B 0.65 08.03.2025 1,000 EUR 0.409589 - - - - 0 0 08.03.2022 VLN 03.03.2025 - -
OPMB070025A 7 24.07.2025 1,000 EUR 1.75 100 90 101.75 91.75 0 0 24.07.2018 VLN 18.07.2025 - -
VIKA000025A 0 22.09.2025 1,000 EUR - - - - 0 0 22.09.2021 VLN 15.09.2025 - -
SABB0104725A 1.047 07.10.2025 1,000 EUR - - - - 0 0 07.10.2021 VLN 01.10.2025 - -
AEIB050025A 5 14.12.2025 1,000 EUR 1.805556 97 94 98.805556 95.805556 0 0 14.12.2021 VLN 03.12.2025 - -
STOH110025A 11 21.12.2025 100 EUR 1.008333 100 - 101.008333 - 2 11,112 21.06.2023 RIG 16.12.2025 99.908333 98.9
PP4B090026A 9 28.04.2026 1,000 EUR -0.1 - - - - 0 0 28.04.2023 VLN 16.04.2026 - -
AKRB0287526A 2.875 02.06.2026 1,000 EUR 1.134247 - 97.25 - 98.384247 0 0 02.06.2021 VLN 07.05.2026 - -
STOH100026A 10 21.09.2026 100 EUR 0.916667 98.4167 97.5 99.333367 98.416667 0 0 21.03.2024 RIG 15.09.2026 - -
IUTE110026A 11 06.10.2026 100 EUR 0.543956 95.26 95.016044 95.803956 95.56 16 27,328 06.10.2021 TLN 30.09.2026 95.813736 95.26978
ALTM004426A 0.443 08.10.2026 1,000 EUR 0.019419 - - - - 0 0 08.10.2021 RIG 23.09.2026 - -
CBLBFLOT26B 5 14.10.2026 10,000 EUR 0.137363 100.25 100 100.387363 100.137363 0 0 14.10.2024 RIG 08.10.2026 - -
ELEV095026A 9.5 18.10.2026 1,000 EUR 0.156593 99.2 98.458902 99.356593 98.615495 0 0 18.10.2021 RIG 13.10.2026 - -
PKGB080024A 8 31.10.2026 2.8 EUR 2.266667 - - - - 0 0 27.05.2020 TLN 27.10.2026 - -
CBLBFLOT26A 1.625 22.11.2026 1,000 EUR 1.496243 - 96.25 - 97.746243 0 0 22.11.2021 RIG 17.11.2026 - -
ACLB070026A 7 31.12.2026 5,000 EUR 5.716667 - - - - 0 0 08.06.2016 RIG 18.12.2026 - -
ASTB005027A 0.5 20.01.2027 1,000 EUR 0.379781 - - - - 0 0 20.10.2021 RIG 08.01.2027 - -
AMBEFLOT27A 10.931 31.03.2027 1,000 EUR 0.728733 96.5 95.371267 97.228733 96.1 2 48,364 21.04.2023 RIG 19.03.2027 96.728733 96
GREG100027A 10 16.04.2027 100 EUR 0.666667 103.99 99.233333 104.656667 99.9 2 1,570 19.04.2024 RIG 12.04.2027 104.656667 103.99
ELEK024227A 2.42 05.05.2027 1,000 EUR 1.140384 - - - - 0 0 05.05.2022 RIG 20.04.2027 - -
EPSO0311727A 3.117 08.06.2027 1,000 EUR 1.178482 - - - - 0 0 08.06.2022 VLN 31.05.2027 - -
IVLB070027A 7 14.06.2027 1,000 EUR 2.527778 104 - 106.527778 - 0 0 14.06.2024 VLN 04.06.2027 - -
VIKA0282627A 2.826 30.06.2027 1,000 EUR 0.898126 - - - - 0 0 30.06.2022 VLN 23.06.2027 - -
MXGR062527A 6.25 12.07.2027 1,000 EUR 1.780822 104 103 105.780822 104.780822 0 0 12.07.2022 VLN 16.06.2027 - -
IGNB020027A 2 14.07.2027 1,000 EUR 0.558904 - - - - 0 0 14.07.2017 VLN 08.07.2027 - -
GREG100027B 10 30.08.2027 100 EUR 0.666667 103.5 100.3 104.166667 100.966667 2 729 30.08.2024 RIG 24.08.2027 104.166667 103.5
CBLB055027A 5.5 24.11.2027 10,000 EUR 2.286685 99.963315 - 102.25 - 0 0 24.11.2017 RIG 09.11.2027 - -
ADMB080027A 8 28.12.2027 100 EUR 2.577778 102 97 104.577778 99.577778 0 0 28.12.2017 TLN 22.12.2027 - -
NHCBFLO28A 11.523 08.05.2028 52,380.95 EUR 2.430879 - - - - 0 0 08.05.2023 TLN 25.04.2028 - -
ELEK005028A 0.5 17.05.2028 1,000 EUR 0.219178 - - - - 0 0 17.05.2021 RIG 02.05.2028 - -
LVNB105028A 10.5 23.05.2028 1,000 EUR 1.779167 109.4 108 111.179167 109.779167 2 3,293 23.05.2024 TLN 17.05.2028 109.779167 108
IGNB0187528A 1.875 10.07.2028 1,000 EUR 0.544521 - - - - 0 0 10.07.2018 VLN 04.07.2028 - -
DGRB100028A 10 25.09.2028 100 EUR -0.027778 104 103.527778 103.972222 103.5 2 10,917 20.09.2024 RIG 19.09.2028 103.972222 104
ELEV130028A 13 31.10.2028 100 EUR 3.002717 108.5 106.1 111.502717 109.102717 0 0 31.10.2023 RIG 25.10.2028 - -
ELEK0495229A 4.952 22.02.2029 1,000 EUR 3.314863 - - - - 0 0 22.02.2023 RIG 16.02.2029 - -
BORA070029A 7 01.06.2029 1,000 EUR 1.030556 100 - 101.030556 - 0 0 01.06.2022 RIG 22.05.2029 - -
INBB060029A 6 19.12.2029 1,000 EUR 0.433333 100 97.01 100.433333 97.443333 0 0 19.12.2019 TLN 13.12.2029 - -
SABB061529A 6.15 23.12.2029 10,000 EUR 5.141803 - - - - 0 0 23.12.2019 VLN 18.12.2029 - -
IGNB020030A 2 21.05.2030 1,000 EUR 0.854795 - - - - 0 0 21.05.2020 VLN 15.05.2030 - -
LHVB060030A 6 30.09.2030 1,000 EUR 0.4 101.5 100.3 101.9 100.7 1 5,050 30.09.2020 TLN 24.09.2030 101 100.6
ADMG080031A 8 05.02.2031 100 EUR 1.755556 100 95 101.755556 96.755556 2 204 05.02.2021 TLN 29.01.2031 101.755556 100
CPAB055031A 5.5 31.03.2031 1,000 EUR 0.366667 99.9 98.6 100.266667 98.966667 1 1,981 31.03.2021 TLN 24.03.2031 99.066667 98.7
CBLB050031A 5 13.12.2031 10,000 EUR 1.81694 96 - 97.81694 - 0 0 13.12.2021 RIG 28.11.2031 - -
INBB055031A 5.5 15.12.2031 1,000 EUR 0.397222 99 95.25 99.397222 95.647222 1 4,790 15.12.2021 TLN 09.12.2031 95.794222 95.397
CPAB050032A 5 10.03.2032 1,000 EUR 0.333333 99.9 97.3 100.233333 97.633333 1 1,967 10.03.2022 TLN 03.03.2032 98.333333 98
BIGB080032A 8 21.09.2032 1,000 EUR 0.733333 104.94 102.125001 105.673333 102.858334 0 0 21.09.2022 TLN 15.09.2032 - -
BIGB080033A 8 16.02.2033 1,000 EUR 1.511111 104.291 102.888889 105.802111 104.4 5 19,982 16.02.2023 TLN 09.02.2033 105.4 103.888889
SABB107533A 10.75 22.06.2033 1,000 EUR 3.652055 116 - 119.652055 - 0 0 22.06.2023 VLN 14.06.2033 - -
LHVB105033A 10.5 29.09.2033 1,000 EUR 0.729167 122 120.5 122.729167 121.229167 9 21,916 29.09.2023 TLN 23.09.2033 122.479167 121.75
BIGB080033B 8 30.11.2033 1,000 EUR 1.2 105.9 102.811001 107.1 104.011001 0 0 30.11.2023 TLN 24.11.2033 - -
INBB090033A 9 13.12.2033 1,000 EUR 0.65 111.95 107.450001 112.6 108.100001 0 0 13.12.2023 TLN 06.12.2033 - -
CBLB080034A 8 05.04.2034 10,000 EUR 0.417582 106.850618 103 107.2682 103.417582 0 0 05.04.2024 RIG 30.03.2034 - -
SABB077034A 7.7 22.05.2034 1,000 EUR 1.326111 107.5 107 108.826111 108.326111 3 6,473 22.05.2024 VLN 12.05.2034 108.326111 107
BIGB070034A 7 29.05.2034 1,000 EUR 0.758333 102.141667 100.15 102.9 100.908333 0 0 29.05.2024 TLN 23.05.2034 - -
BORA100034A 10 02.10.2034 1,000 EUR 0.611111 105.8 103.5 106.411111 104.111111 0 0 02.10.2024 RIG 26.09.2034 - -

Total
Corporate bonds

Corporate bonds Total Trades Turnover €
  56 186,249

Government bonds 17 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
LTGB021024A 2.1 06.11.2024 100 EUR 2.0254 - - - - - - 0 0 06.11.2014 VLN 31.10.2024 - -
LVGB000025A 0 31.01.2025 1,000 EUR - - - - - - 0 0 05.07.2019 RIG 27.01.2025 - -
LTGB013025B 1.3 04.08.2025 100 EUR 0.2885 - - - - - - 0 0 04.05.2022 VLN 29.07.2025 - -
LTGB008025A 0.8 21.11.2025 100 EUR 0.7388 - - - - - - 1 493 21.11.2018 VLN 17.11.2025 98.5434 97.8046
LTGB000026B 0 22.01.2026 100 EUR - - - - - - 0 0 22.07.2020 VLN 16.01.2026 - -
LTGB000026C 0 02.06.2026 100 EUR - - - - - - 0 0 02.06.2021 VLN 27.05.2026 - -
LTGB039026D 3.9 02.08.2026 100 EUR 0.8868 - - - - - - 0 0 02.08.2023 VLN 28.07.2026 - -
ETGB033026A 3.3 16.09.2026 100 EUR 0.343562 - - 100.9 100.73 101.243562 101.073562 0 0 16.09.2024 TLN 09.09.2026 - -
LTGB001026A 0.1 27.11.2026 100 EUR 0.0907 2.85 - - - - - 0 0 27.11.2019 VLN 23.11.2026 - -
LTGB011027A 1.1 26.04.2027 100 EUR 0.5455 - - - - - - 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 - -
LTGB023027B 2.3 13.07.2027 100 EUR 0.649 - - - - - - 0 0 13.07.2022 VLN 07.07.2027 - -
LTGB000028B 0 03.03.2028 100 EUR - - - - - - 0 0 03.03.2021 VLN 28.02.2028 - -
LTGGB012028A 1.2 03.05.2028 100 EUR 0.5721 - - - - - - 0 0 03.05.2018 VLN 27.04.2028 - -
LTGB002029A 0.2 28.08.2029 100 EUR 0.0312 - - - - - - 0 0 28.08.2019 VLN 22.08.2029 - -
LTGB024029B 2.4 15.12.2029 100 EUR 2.059 - - - - - - 0 0 15.06.2022 VLN 11.12.2029 - -
LTGB003032A 0.3 12.02.2032 100 EUR 0.209 - - - - - - 0 0 12.02.2020 VLN 06.02.2032 - -

Total
Government bonds

Government bonds Total Trades Turnover €
  1 492

Grand total
Baltic Regulated market

Baltic Regulated market Trades Turnover €
Grand total 57 186,748.76

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 38 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
CCLAT067524FA 6.75 04.11.2024 1,000 EUR 1.5 - - - - 0 0 05.11.2021 RIG 23.10.2024 - -
SIGR130024FA 13 29.11.2024 1,000 EUR 5.228261 99 93.788043 104.228261 99.016304 0 0 29.11.2023 VLN 21.11.2024 - -
LONGO060024FA 6 30.11.2024 1,000 EUR 0.4 - 99 - 99.4 0 0 30.11.2021 RIG 20.11.2024 - -
UPOB060025FA 6 25.02.2025 1,000 EUR 0.983333 - - - - 0 0 22.02.2022 TLN 13.02.2025 - -
BANGA060025FA 6 09.05.2025 1,000 EUR 1.216667 - 95.5 - 96.716667 0 0 11.05.2022 RIG 05.05.2025 - -
REFIE095025FA 9.5 20.06.2025 1,000 EUR 0.897222 103 100 103.897222 100.897222 0 0 20.06.2023 VLN 16.06.2025 - -
COFAD090025FA 9 30.06.2025 1,000 EUR 0.6 100.5 100 101.1 100.6 0 0 08.07.2022 RIG 18.06.2025 - -
LONGOFLOT25FA 9.431 30.06.2025 1,000 EUR 0.628733 - 100 - 100.628733 0 0 30.06.2022 RIG 20.06.2025 - -
GIVENFLOT25FA 9.686 31.07.2025 1,000 EUR 2.260067 - - - - 0 0 08.07.2022 RIG 28.07.2025 - -
SUNBFLOT25FA 14.431 30.09.2025 1,000 EUR 0.962067 102.8 101.537933 103.762067 102.5 1 20,752 19.08.2022 RIG 24.09.2025 103.762067 102.8
CIVB110025FA 11 16.10.2025 1,000 EUR 0.241096 - 100 - 100.241096 0 0 16.10.2023 VLN 09.10.2025 - -
CAPTFLOT25FA 9.325 30.10.2025 100 EUR 4.507083 103 100 107.507083 104.507083 0 0 30.10.2023 VLN 22.10.2025 - -
LEBA080025FA 8 10.11.2025 1,000 EUR 1.644444 - - - - 0 0 10.11.2022 VLN 04.11.2025 - -
MDGBFLOT25FA 10.759 04.12.2025 100 EUR 4.184056 104 100 108.184056 104.184056 0 0 04.12.2023 VLN 26.11.2025 - -
CRGBFLOT25FA 9.931 09.12.2025 1,000 EUR 0.662067 - 103.314483 - 103.97655 0 0 09.12.2022 RIG 03.12.2025 - -
ELGB060026FA 6 12.02.2026 1,000 EUR 1.2 98 94.5 99.2 95.7 0 0 12.02.2021 RIG 02.02.2026 - -
ECOB080026FA 8 17.02.2026 1,000 EUR 1.488889 - 100.5 - 101.988889 0 0 17.02.2023 RIG 11.02.2026 - -
DGRBFLOT26FA 12.455 25.02.2026 1,000 EUR -0.034597 102.5 101 102.465403 100.965403 1 15,370 23.08.2023 RIG 19.02.2026 102.465403 102.5
INTRFLOT26FA 15.802 05.05.2026 1,000 EUR 7.385717 7.614283 - 15 - 0 0 05.05.2023 VLN 27.04.2026 - -
HEROBFLOT26FA 9.8 18.05.2026 1,000 EUR 4.269041 100.25 99 104.519041 103.269041 0 0 18.05.2023 VLN 06.05.2026 - -
ARSEN120026FA 12 31.05.2026 1,000 EUR 0.8 98 - 98.8 - 0 0 30.11.2023 RIG 26.05.2026 - -
MAYB047526FA 4.75 10.06.2026 100 EUR 1.768056 97.5 96 99.268056 97.768056 0 0 10.06.2021 TLN 01.06.2026 - -
AGAB110026FA 11 28.06.2026 100 EUR 0.794444 - - - - 0 0 28.06.2024 VLN 19.06.2026 - -
CPTBFLO26FA 9.672 29.06.2026 1,000 EUR 3.089667 101.499 99 104.588667 102.089667 0 0 26.03.2024 VLN 19.06.2026 - -
UPPB080022FA 7 17.07.2026 1,000 EUR 0.136111 - - - - 0 0 17.04.2017 TLN 09.07.2026 - -
ECOB090026FA 9 02.11.2026 1,000 EUR 4.3 - - - - 0 0 02.11.2023 RIG 27.10.2026 - -
SUNBFLOT26FA 14.431 30.11.2026 1,000 EUR 0.962067 108.999933 103 109.962 103.962067 0 0 31.05.2023 RIG 24.11.2026 - -
MAYB085027FA 8.5 10.03.2027 100 EUR 1.038889 104.75 101.25 105.788889 102.288889 0 0 06.03.2023 TLN 01.03.2027 - -
TUUL100027FA 10 29.03.2027 500 EUR 0.694444 62.2 41.6 62.894444 42.294444 0 0 29.03.2022 TLN 22.03.2027 - -
FASTL120027FA 12 20.05.2027 1,000 EUR 2.119565 103.987 - 106.106565 - 0 0 20.05.2024 VLN 12.05.2027 - -
SUMC095027FA 9.5 11.06.2027 1,000 EUR 1.134722 - 102.25 - 103.384722 0 0 11.06.2024 RIG 07.06.2027 - -
ICOTNFLOT27FA 9.431 30.06.2027 1,000 EUR 0.628733 100.75 99.9 101.378733 100.528733 1 1,014 22.12.2023 RIG 22.06.2027 101.378733 100.75
HEST045027FA 4.5 01.09.2027 0.01 EUR 0.3 - - - - 0 0 20.12.2022 RIG 26.08.2027 - -
MODE110027FA 11 13.09.2027 500 EUR 1.252778 107.717222 101 108.97 102.252778 1 4,310 13.09.2024 TLN 07.09.2027 107.752778 106.5
FOUR112528FA 11.25 23.05.2028 1,000 EUR 1.89538 - 100 - 101.89538 0 0 23.05.2016 RIG 17.05.2028 - -
RTOB120029FA 12 18.07.2029 1,000 EUR 0.195652 - - - - 0 0 18.07.2022 VLN 12.07.2029 - -
ELEVFLOT31FA 15.672 29.12.2031 1,000 EUR 1.088333 - - - - 0 0 29.12.2021 RIG 19.12.2031 - -
HLMBK095034FA 9.5 30.05.2034 1,000 EUR 3.8 112.5 109.088 116.3 112.888 2 2,326 30.05.2024 TLN 24.05.2034 116.3 112.5

Total
First North Corporate bonds

First North Corporate bonds Total Trades Turnover €
  6 43,770

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

Baltic Regulated market
& First North (Baltic MTF)
Trades Turnover €
Grand total 63 230,520.88

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