As of May 9, 2014 for trading on Baltic Bond list additional SIA ExpressCredit 100 bonds will be available. Therefore, as of May 9, 2014 trading will be available in total 2 650 SIA ExpressCredit bonds.
|Issuer's full name||SIA ExpressCredit|
|Issuer's short name||EXPC|
|Securities ISIN code||LV0000801322|
|Securities maturity date||25.12.2020.|
|Nominal value of one security*||EUR 1 000|
|Number of listed securities**||2 650|
|Orderbook short name***||EXPC150020A|
|Orderbook short name****||EXPC150020AB|
* Nominal value of one security according to the prospectus is EUR 1 000. According to the procedure described in the prospectus the nominal value of one security is going to be decreased by EUR 125 each quarter starting on March 25, 2019. Decrease will be made on March 25, June 25, September 25 and December 25, the last decrease will be made on December 25, 2020.
** According to the procedure described in the prospectus SIA ExpressCredit has a right to issue bonds in total nominal value EUR 3 500 000 till December 5, 2014.
*** Fixed income automatch market segment (RSE Bonds Automatch)
**** Fixed income market segment with no automatch (Bulletin board: RSE Bonds)
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