Nasdaq Riga Management Board decided on September 30, 2026 to list Citadele banka, AS bonds on Baltic Bond list as of October 1, 2026.
Additional information:
| Issuer's full name | Citadele banka, AS |
| Issuer’s shortname | CBL |
| Securities ISIN code | LV0000113439 |
| Securities maturity date | 28.12.2029. |
| Nominal value of one security | 10 000 EUR |
| Number of listed securities | 5 000 |
| Nominal value | 50 000 000 EUR |
| Fixed annual coupon rate | until until December 28, 2028, 5.15% annually, afterwards floating rate of 2.30% + 3 M EURIBOR. |
| Coupon payments | until December 28, 2028 on 28 December and 28 June, after December 28, 2028, on 28 March, 28 June, 28 September and 28 December |
| Orderbook shortname | CBLBFLOT29A |
Citadele Banka, AS Base prospectus and Final Terms are available here.
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