Nasdaq Riga on January 18, 2024 decided to admit to trading iCotton, SIA bonds on First North market operated by Nasdaq Riga as of January 19, 2024.
Additional information:
Issuer's full name | iCotton, SIA |
Issuer's short name | ICOTN |
Securities ISIN code | LV0000802783 |
Securities maturity date | 30.06.2027 |
Nominal value of one security | EUR 1 000 |
Number of listed securities | 20 000 |
Issue size | EUR 20 000 000 |
Floating annual coupon rate | 6.00% + 3 M EURIBOR (initially 9.975%) |
Coupon payments | Four times per year on every March 31, June 30, September 30, December 31 |
Orderbook short name | ICOTNFLOT27FA |
iCotton, SIA Terms of Issue and Company Description are available here.
The Certified Adviser of iCotton, SIA is Signet Bank, AS.
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