Nasdaq Riga Management board decided on September 16, 2026 to list AS Storent Europe bonds on Baltic Bond list as of September 17, 2026 with the condition that settlement of the bonds has been completed by 9:45 on September 17, 2026. If the aforementioned condition is not fulfilled, trading in the Company’s bonds shall commence as of September 18, 2026.
Additional information:
| Issuer's full name | AS Storent Europe |
| Securities ISIN code | LV0000113132 |
| Securities maturity date | 30.03.2030. |
| Nominal value of one security | 100 EUR |
| Number of listed securities | 129 551 |
| Nominal value | 12 955 100 EUR |
| Annual coupon rate | 10% |
| Coupon payments | 17 December, 17 March, 17 June and 17 September each year |
| Orderbook shortname | STOH100030A |
AS Storent Europe Base Prospectus, Final Terms and updated Final Terms are available in the announcement here.
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