The results of the primary placement auction of additional offers of the Lithuanian Government Eurobonds that took place at the public company Nasdaq Vilnius on 2025-06-09:
ISIN code | XS2979761769 |
A competitive orderbook | LTGCA287530A |
A non-competitive orderbook | LTGNA287530A |
Payment date | 2025-06-16 |
Redemption date | 2030-01-28 |
Currency of issue | EUR |
Nominal value | 1000 |
Coupon rate, % | 2,875 |
Minimum offered yield, % | 2,780 |
Weighted average accepted yield, % | 2,808 |
Maximum accepted yield, % | 2,830 |
Total volume of competitive bids, EUR | 239 738 000 |
Total volume of non-competitive bids, EUR | 0 |
Distributed by par value, EUR | 100 000 000,00 |
Turnover, EUR | 101 373 433,03 |
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