ISIN | LV0000880037 |
Ticker | ALTM013025A |
List/segment | Baltic Bond List |
Number of listed securities | 45,000 |
Nominal | 1,000 EUR |
Issue value | 45,000,000 EUR |
Listing date | 15.03.2018 |
Maturity date | 07.03.2025 |
Coupon rate (%) | 1.3 |
Next coupon payment date | 07.03.2021 |
05.06.2019 – Additional listing 15 000 000 EUR
15.04.2020 - Additional listing 20 000 000 EUR