ISIN code of the security: LV0000513174 Date of tap issues: 16.04.2009 Settlement date: 17.04.2009 Maturity date: 15.05.2009 Supply value for tap issues (LVL): 10 000 000 Fixed income rate set by State Treasury (%): 7.750 % Price of one security: 99.400833 * * * ISIN code of the security: LV0000523116 Date of tap issues: 16.04.2009 Settlement date: 17.04.2009 Maturity date: 17.07.2009 Supply value for Date of tap issues (LVL): 10 000 000 Fixed income rate set by State Treasury (%): 9.444 % Price of one security: 97.668426 * * * ISIN code of the security: LV0000532356 Date of tap issues: 16.04.2009 Settlement date: 17.04.2009 Maturity date: 16.10.2009 Supply value for Date of tap issues (LVL): 10 000 000 Fixed income rate set by State Treasury (%): 10.137 % Price of one security: 95.125017 * * * ISIN code of the security: LV0000541084 Date of tap issues: 16.04.2009 Settlement date: 17.04.2009 Maturity date: 16.04.2010 Supply value for Date of tap issues (LVL): 5 000 000 Fixed income rate set by State Treasury (%):10.733 % Price of one security: 90.210162 * * * ISIN code of the security: LV0000570075 As no above mentioned securities were sold during the competitive auction on April 15, 2009, and the weighted average yield was not calculated, the tap issues will not be held on April 16, 2009. State Treasury may increase the offered amount of debt securities in tap issues (16.04.2009) NASDAQ OMX Riga Market services (+371) 67213224