Listing of AS „Citadele banka” bonds on Baltic Bond List
Nasdaq Riga decided on november 25, 2021 to list AS „Citadele banka” bonds on Baltic Bond list as of November 26, 2021.
Additional information:
Issuer's full name |
AS „Citadele banka” |
Issuer's short name |
CBL |
Securities ISIN code |
XS2393742122 |
Securities maturity date |
22.11.2026 |
Nominal value of one security |
1 000 EUR* |
Number of listed securities |
200 000 |
Annual coupon rate |
Fixed rate of interest - 1,625%
Floating rate of interest – 3-month Euribor + 185bps p.a. |
Coupon payments |
From 22.11.2021 to 22.11.2025 at Fixed rate of interest, yearly on November 22
Form 22.11.2025 to 22.11.2026 at Floating rate of interest, quarterly |
Orderbook short name |
CBLBFLOT26A |
*the minimum denomination of EUR 100 000 and higher integral multiples of EUR 1 000 in excess thereof
Attached: AS „Citadele banka” Prospectus and the confirmation letter of the record date.
Nasdaq Baltic
Issuer Services
+371 67212431
www.nasdaqbaltic.com
Nasdaq Baltic is a common name for exchanges, regulated markets, alternative markets First North operated by Nasdaq companies in the Baltic states, i.e. Nasdaq Tallinn AS, Nasdaq Riga, AS and AB Nasdaq Vilnius.
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