Procedure for listing of AS “Baltic International Bank” bonds initiated


In accordance with the documents received on July 31, 2015, Nasdaq Riga started the procedure for listing AS “Baltic International Bank” bonds on Baltic Bond list.

ISIN Nominal value Issue amount Currency Maturity date
LV0000801801 1 000 2 100 000 USD 31.07.2016
LV0000801793 1 000 2 300 000 USD 31.07.2017
LV0000801819 1 000 2 250 000 EUR 31.07.2017

The resolutions made during the listing procedure will be published separately.

Please find Prospectus and Final Terms attached.

Nasdaq Baltic
Issuer Services
+371 67 212 431
www.nasdaqbaltic.com

Nasdaq Baltic is a common name for exchanges, regulated markets, alternative markets First North operated by NASDAQ OMX companies in the Baltic states, i.e. NASDAQ OMX Tallinn AS, NASDAQ OMX Riga AS and AB NASDAQ OMX Vilnius.


Attachments

Baltic_International_Bank_LV0000801801.pdf Baltic_International_Bank_LV0000801793.pdf Baltic_International_Bank_LV0000801819.pdf Baltic_International_Bank_Pamatprospekts.pdf