Listing procedure initiated for ABLV Bank, AS bonds


NASDAQ OMX Riga on November 13, 2012 received an application from ABLV Bank, AS requesting listing of the following bonds, that were issued based on the second bond offering program:

  ISIN Nominal value Issue amount Currency Maturity date
Second EUR Bond issue ABLV FXD EUR 051114 LV0000801041 1 000 15 000 000  EUR 2014.11.05
Third USD bond issue ABLV FXY USD 151013 LV0000801033 1 000 25 000 000 USD 2013.10.15
Fourth USD bond issue ABLV FXD USD 061114 LV0000801058 1 000 50 000 000 USD 2014.11.06

NASDAQ OMX Riga Management board's resolution on listing will be made public immediately after it has been made.

The Prospectus published on June 11, 2012 and is available here. The Final Terms published on September 25, 2012 and are available here:

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