Last update: 12.11.2019 00:25 (GMT+2)

ABLV FXD EUR 110718 (23.10.2019)

Riga market | Baltic Bond List

ABLV007018D  |  ISIN LV0000802080

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Trade

Likvidējamā ABLV Bank, AS

Likvidējamā ABLV Bank, AS

Issuer: ABLV Bank, AS in Liquidation
Core business: Financial services
Auditor: Nexia Audit Advice, SIA (No 40003858822)

Liquidators:
Arvīds Kostomārovs, Andris Kovaļčuks, Lauma Bērziņa, Ringolds Balodis

 

Contacts:
Address: Building 1 at 7 Skanstes St., Riga, LV-1013
Phone:
+ 371 6777 5222
Home page: www.ablv.com
E-mail:
info@ablv.com

Contact person

Artūrs Eglītis
Phone: +371 6700 2454

Documents

Documents

2019
July

Final Terms of Offer of the Second Bond Issue Series in EUR ABLV FXD EUR 271019 lv, 226 KB

Final Terms of Offer of the Second Bond Issue Series in EUR ABLV FXD EUR 311018 lv, 175 KB

Final Terms of Offer of the First Bond Issue Series Redenominated in EUR ABLV FXD RD EUR 030719 lv, 222 KB

Final Terms of Offer of the Third Bond Issue Series in USD ABLV FXD USD 270219 lv, 174 KB

Final Terms of Offer of the Second Bond Issue Series Redenominated in EUR ABLV FXD RD EUR 271019 lv, 228 KB

Final Terms of Offer of the First Bond Issue Series in USD ABLV FXD USD 110718 lv, 236 KB

Final Terms of Offer of the Second Bond Issue Series in USD ABLV FXD USD 311018 lv, 245 KB

Final Terms of Offer of the Third Bond Issue Series in EUR ABLV SUB EUR 311026 for the sake of raising funds for subordinated capital increase lv, 182 KB

Final Terms of Offer of the Second Bond Issue Series in EUR ABLV SUB EUR 261025 for the sake of raising funds for subordinated capital increase lv, 242 KB

Final Terms of Offer of the First Bond Issue Series in EUR ABLV SUB EUR 270623 for the sake of raising funds for subordinated capital increase lv, 240 KB

Final Terms of Offer of the Third Bond Issue Series in EUR ABLV SUB EUR 271027 for the sake of raising funds for subordinated capital increase lv, 235 KB

Final Terms of Offer of the Third Bond Issue Series in EUR ABLV SUB EUR 271024 for the sake of raising funds for subordinated capital increase lv, 244 KB

Final Terms of Offer of the Sixth Bond Issue Series in USD ABLV SUB USD 180323 for the sake of raising funds for subordinated capital increase lv, 155 KB

Final Terms of Offer of the Third Bond Issue Series Redenominated in EUR ABLV SUB RD EUR 171127 for the sake of raising funds for subordinated capital increase lv, 240 KB

Final Terms of Offer of the First Bond Issue Series in EUR ABLV FXD EUR 030719 lv, 220 KB

Final Terms of Offer of the First Bond Issue Series in USD ABLV SUB USD 270623 for the sake of raising funds for subordinated capital increase lv, 242 KB

Final Terms of Offer of the First Bond Issue Series in EUR ABLV FXD EUR 110718 lv, 235 KB

Final Terms of Offer of the Third Bond Issue Series in USD ABLV SUB USD 231023 for the sake of raising funds for subordinated capital increase lv, 246 KB

Final Terms of Offer of the Fourth Bond Issue Series in EUR ABLV FXD EUR 270219 lv, 172 KB

2019
July

Final Terms of Offer of the Fourth Bond Issue Series in EUR ABLV FXD EUR 270219 en, 157 KB

Final Terms of Offer of the Second Bond Issue Series in EUR ABLV FXD EUR 311018 en, 157 KB

Final Terms of Offer of the Second Bond Issue Series in EUR ABLV FXD EUR 271019 en, 207 KB

Final Terms of Offer of the First Bond Issue Series Redenominated in EUR ABLV FXD RD EUR 030719 en, 201 KB

Final Terms of Offer of the First Bond Issue Series in USD ABLV FXD USD 110718 en, 197 KB

Final Terms of Offer of the Second Bond Issue Series Redenominated in EUR ABLV FXD RD EUR 271019 en, 208 KB

Final Terms of Offer of the Third Bond Issue Series in USD ABLV FXD USD 270219 en, 150 KB

Final Terms of Offer of the Second Bond Issue Series in USD ABLV FXD USD 311018 en, 203 KB

Final Terms of Offer of the Second Bond Issue Series in EUR ABLV SUB EUR 261025 for the sake of raising funds for subordinated capital increase en, 205 KB

Final Terms of Offer of the First Bond Issue Series in EUR ABLV SUB EUR 270623 for the sake of raising funds for subordinated capital increase en, 189 KB

Final Terms of Offer of the Third Bond Issue Series in EUR ABLV SUB EUR 271024 for the sake of raising funds for subordinated capital increase en, 195 KB

Final Terms of Offer of the Third Bond Issue Series in EUR ABLV SUB EUR 271027 for the sake of raising funds for subordinated capital increase en, 212 KB

Final Terms of Offer of the Third Bond Issue Series in EUR ABLV SUB EUR 311026 for the sake of raising funds for subordinated capital increase en, 165 KB

Final Terms of Offer of the Third Bond Issue Series Redenominated in EUR ABLV SUB RD EUR 171127 for the sake of raising funds for subordinated capital increase en, 214 KB

Final Terms of Offer of the Sixth Bond Issue Series in USD ABLV SUB USD 180323 for the sake of raising funds for subordinated capital increase en, 113 KB

Final Terms of Offer of the Third Bond Issue Series in USD ABLV SUB USD 231023 for the sake of raising funds for subordinated capital increase en, 203 KB

Final Terms of Offer of the First Bond Issue Series in USD ABLV SUB USD 270623 for the sake of raising funds for subordinated capital increase en, 187 KB

Final Terms of Offer of the First Bond Issue Series in EUR ABLV FXD EUR 030719 en, 195 KB

Final Terms of Offer of the First Bond Issue Series in EUR ABLV FXD EUR 110718 en, 198 KB

2017
May

Base prospectus of the Seventh Bond Issue program (16.05.2017) lv, 564 KB

Base prospectus of the Seventh Bond Issue program (16.05.2017) en, 473 KB

Final Terms of Offer of the First Bond Issue Series in USD (ABLV FXD USD 030719) (19.05.2017) lv, 225 KB

Final Terms of Offer of the First Bond Issue Series in USD (ABLV FXD USD 030719) (19.05.2017) en, 199 KB

Final Terms of Offer of the First Bond Issue Series in EUR (ABLV FXD EUR 030719) (19.05.2017) lv, 225 KB

Final Terms of Offer of the First Bond Issue Series in EUR (ABLV FXD EUR 030719) (19.05.2017) en, 198 KB

Final Terms of Offer of the Second Bond Issue Series in USD (ABLV FXD USD 271019) (15.09.2017) lv, 231 KB

Final Terms of Offer of the Second Bond Issue Series in USD (ABLV FXD USD 271019) (15.09.2017) en, 206 KB

Final Terms of Offer of the Second Bond Issue Series in EUR (ABLV FXD EUR 271019) (15.09.2017) lv, 231 KB

Final Terms of Offer of the Second Bond Issue Series in EUR (ABLV FXD EUR 271019) (15.09.2017) en, 208 KB

Final Terms of Offer of the Third Bond Issue Series in EUR for the sake of raising funds for subordinated capital increase (ABLV SUB EUR 271027) (15.09.2017) lv, 183 KB

Final Terms of Offer of the Third Bond Issue Series in EUR for the sake of raising funds for subordinated capital increase (ABLV SUB EUR 271027) (15.09.2017) en, 174 KB

Final Terms of Offer of the Third Bond Issue Series in USD for the sake of raising funds for subordinated capital increase (ABLV SUB USD 171127) (01.11.2017) lv, 241 KB

Final Terms of Offer of the Third Bond Issue Series in USD for the sake of raising funds for subordinated capital increase (ABLV SUB USD 171127) (01.11.2017) en, 215 KB

Final Terms of Offer of the Fourth Bond Issue Series in EUR (ABLV FXD EUR 230220) Final Terms of Offer of the Fourth Bond Issue Series in EUR (ABLV FXD EUR 230220) (15.01.2018) lv, 257 KB

Final Terms of Offer of the Fourth Bond Issue Series in EUR (ABLV FXD EUR 230220) (15.01.2018) en, 212 KB

Final Terms of Offer of the Fourth Bond Issue Series in USD (ABLV FXD USD 230220) (15.01.2018) lv, 257 KB

Final Terms of Offer of the Fourth Bond Issue Series in USD (ABLV FXD USD 230220) (15.01.2018) en, 212 KB

2016
April

Base prospectus of the Sixth Bond Issue program en, 399 KB

Amendments - Base prospectus of the Sixth Bond Issue program (01.07.2016) en, 92 KB

Base prospectus of the Sixth Bond Issue program (01.07.2016) lv, 482 KB

Amendments - Base prospectus of the Sixth Bond Issue program (01.07.2016) lv, 130 KB

Final Terms of First Bond Issue Series in EUR (ABLV FXD EUR 110718) (05.05.2016.) en, 198 KB

Amendments - Final Terms of First Bond Issue Series in EUR (ABLV FXD EUR 110718) (01.06.2016.) en, 85 KB

Final Terms of First Bond Issue Series in EUR (ABLV FXD EUR 110718) (05.05.2016.) lv, 240 KB

Amendments - Final Terms of First Bond Issue Series in EUR (ABLV FXD EUR 110718) (01.06.2016.) lv, 122 KB

Final Terms of First Bond Issue Series in USD (ABLV FXD USD 110718) (05.05.2016.) en, 200 KB

Amendments - Final Terms of First Bond Issue Series in USD (ABLV FXD USD 110718) (01.07.2016.) en, 85 KB

Final Terms of First Bond Issue Series in USD (ABLV FXD USD 110718) (05.05.2016.) lv, 241 KB

Amendments - Final Terms of First Bond Issue Series in USD (ABLV FXD USD 110718) (01.07.2016.) lv, 122 KB

Final Terms of Offer of the Second Bond Issue Series in EUR (ABLV FXD EUR 311018) (19.09.2016) lv, 249 KB

Final Terms of Offer of the Second Bond Issue Series in EUR (ABLV FXD EUR 311018) (19.09.2016) en, 206 KB

Final Terms of Offer of the Second Bond Issue Series in USD (ABLV FXD USD 311018) (19.09.2016) lv, 250 KB

Final Terms of Offer of the Second Bond Issue Series in USD (ABLV FXD USD 311018) (19.09.2016) en, 207 KB

Final Terms of Offer of the Third Bond Issue Series in EUR for the sake of raising funds for subordinated capital increase (ABLV SUB EUR 311026) (19.09.2016) lv, 258 KB

Final Terms of Offer of the Third Bond Issue Series in EUR for the sake of raising funds for subordinated capital increase (ABLV SUB EUR 311026) (19.09.2016) en, 216 KB

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