According to the decision made by Nasdaq Riga Management board on June 1, 2026, additional 8 730 AS PN Project bonds with total nominal value 8 730 000 EUR are going to be listed on Baltic Bond List next to the already listed 53 958 000 EUR AS PN Project bonds (ISIN LV0000104271) starting as of June 2, 2026:
| Issuer's full name | AS PN Project |
| Issuer's short name | PNP |
| Securities ISIN code | LV0000104271 |
| Securities maturity date | 04.06.2027. |
| Nominal value of one security | 1 000 EUR |
| Number of listed securities | 62 688 |
| Total nominal value of the bonds | 62 688 000 EUR |
| Coupon rate | 10.00% |
| Coupon payment dates | Two times per year, on every June 4 and December 4 |
| Orderbook shortname | PNP100027A |
Attached: AS PN Project Amended TenthTranche Final Terms.
AS PN Project base prospectus and Tenth Tranche Final Terms are available here.
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