Regarding registration of non-equity securities


Šiauliai, Lithuania, 2011-12-01 15:35 CET (GLOBE NEWSWIRE) --  

Šiaulių bankas AB, the company code 112025254, the address Tilžės st. 149, LT-76348 Šiauliai.

On 1 December 2011 the Central Securities Depository of Lithuania opened the securities accounts for bond issues of Šiaulių bankas AB:

ISIN - LT0000402703

Number of securities offered – 83,097

Issue currency - LTL

Nominal value of a bond - LTL 100

Total nominal value - LTL 8,309,700

Annual interest rate - 4.50%

Bonds Redemption Date - 29 May 2013

Listing - This issue will not be listed.

 

ISIN - LT1000402420

Number of securities offered – 20,000

Issue currency - EUR

Nominal value of a bond - EUR 100

Total nominal value – EUR  2,000,000

Annual interest rate - 4.50%

Bonds Redemption Date - 29 May 2013

Listing - This issue will not be listed.

 

Chief Executive Officer Audrius Žiugžda

         Director of Securities Accounting Department Jolanta Dobiliauskienė tel.: +370 41 595653.

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