ISIN code of the security: LV0000532331 Date of tap issues: 19.03.2009 Settlement date: 20.03.2009 Maturity date: 18.09.2009 Supply value for tap issues (LVL): 5 000 000 Fixed income rate set by State Treasury (%): 8.090 % Price of one security: 96.070759 * * * ISIN code of the security: LV0000541068 Date of tap issues: 19.03.2009 Settlement date: 20.03.2009 Maturity date: 19.03.2010 Supply value for Date of tap issues (LVL): 15 000 000 Fixed income rate set by State Treasury (%): 8.275 % Price of one security: 92.279062 NASDAQ OMX Riga Market services (+371) 67213224