Published: 2025-05-08 15:37:12 CEST
Nasdaq Vilnius - Admission to listing

Admission to trading of UAB "Vanagas Asset Management" bonds on Nasdaq Baltic First North

Nasdaq Vilnius decided on May 8, 2025 to admit the bonds of UAB "Vanagas Asset Management" to trading on First North operated by AB Nasdaq Vilnius on the request of the Issuer. The first trading day of UAB "Vanagas Asset Management" bonds is May 14, 2025.    

Additional information on the Bonds:

Issuer's full name UAB "Vanagas Asset Management"
Issuer's short name VNGAM
Bonds' ISIN code LT0000133886
Securities maturity date 2027-10-29
Nominal value of one bond, EUR 1 000
Number of bonds 3 400
Volume of the bonds issue, EUR 3 400 000
Annual interest rate, % 10% 
Coupon payments April 29 and October 29
Orderbook short name VNGAM100027FA
Market First North Vilnius

  

The Certified Adviser of UAB "Vanagas Asset Management" is Law Firm TGS Baltic (Lithuania).

Information Document, Final Terms, audited financial statements for the year 2023 (in Lithuanian) as well as unaudited stand-alone and consolidated financial statements for the the year 2024 (in Lithuanian) are enclosed.

Please note that as indicated in the Information Document, the Issuer shall prepare annual audited consolidated and annual audited stand-alone Financial Reports of the Issuer and publish them not later than until 31 May 2025 for the financial year ended 2024.

 

Nasdaq Baltic
Issuer Services
+370 5253 1454
www.nasdaqbaltic.com

Nasdaq Baltic is a common name for exchanges, regulated markets, alternative First North markets operated by Nasdaq companies in the Baltic States, i.e. Nasdaq Tallinn AS, Nasdaq Riga AS and AB Nasdaq Vilnius.

Vanagas-Asset-Management-Information-document-2025.04.11.pdf
FINAL-TERMS-Vanagas-Asset-Management2025-04-28.pdf
6.-Vanagas-Asset-Management-2024-metu-finansines-ataskaitos-neaudituota.pdf
2023-metu-konsoliduotos-finansines-ataskaitos-audituota.pdf
konsoliduotos-FA-2024_FY_neaudituotos 003.pdf