Nasdaq Vilnius decided on July 21, 2025 to list the bonds of AB Civinity on the Bond List on July 24, 2025 at the request of the Company.
Additional information on the Bonds:
Issuer's name | AB Civinity |
Issuer's short name | CIV |
ISIN code | LT0000134413 |
Securities issue date | 17.07.2025 |
Securities maturity date | 17.07.2029 |
Total nominal value of the issue | 10 350 000 EUR |
Nominal value of one bond | EUR 1000 |
Rate of interest | 10% |
Orderbook short name | CIVB100029A |
Interest payment dates | January 17 and July 17 each year |
Market | Nasdaq Vilnius |
Trading list | Bond list |
The Base Prospectus of the fixed interest bond program of AB Civinity with a nominal value of up to EUR 50,000,000 can be found on the Lithuanian Bank website here:
https://www.lb.lt/en/list-of-approved-prospectuses
The General Terms and Conditions as well as the Final Terms of the issued bonds are published here:
https://www.civinity.com/investors/
Nasdaq Baltic
Issuer Services
+370 5 253 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.