LV

Market

ABLV Bank AS

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Date
25.04.2016
Amount
400000000 EUR
Prospectuses available

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
Galīgajos noteikumos
Date
04.05.2015
Amount
400000000 EUR
Prospectuses available

Akciju sabiedrība "Attīstības finanšu institūcija Altum"

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
20.09.2021
Amount
75 000 000 EUR
Prospectuses available

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
08.05.2019
Amount
70000000
Prospectuses available

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Date
29.08.2017
Amount
30000000 EUR
Prospectuses available

Akciju sabiedrība "BRĪVAIS VILNIS"

Prospectuses type
Prospectus of the share buy-back offer
Type of securities
Share
Nominal value
-
Currency
EUR
Date
08.11.2018
Amount
-

Akciju sabiedrība "Citadele banka"

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
02.10.2024
Amount
100000000 EUR

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
20.03.2024
Amount
60000000 EUR

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
29.11.2021
Amount
40000000 EUR
Prospectuses available

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
01.03.2020
Amount
30000000 EUR
Prospectuses available

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
Galīgajos noteikumos
Date
01.11.2017
Amount
25000000 EUR
Prospectuses available

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
Galīgajos noteikumos
Date
07.11.2016
Amount
40000000 EUR
Prospectuses available

Prospectuses type
Issue Prospectus
Type of securities
Share
Nominal value
0.1
Currency
EUR
Date
21.10.2015
Amount
100000000
Prospectuses available

Akciju sabiedrība "Conexus Baltic Grid"

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
100000
Currency
EUR
Date
31.10.2022
Amount
800
Prospectuses available

Akciju sabiedrība "ELKO GRUPA"

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
Galīgajos noteikumos
Date
24.10.2016
Amount
50000000 EUR
Prospectuses available

Prospectuses type
Prospectus
Type of securities
Bond
Nominal value
1000
Currency
EUR
Date
05.01.2016
Amount
8000000 EUR
Prospectuses available

Akciju sabiedrība "HansaMatrix"

Prospectuses type
Prospectus of the share buy-back offer
Type of securities
Share
Date
31.03.2023
Prospectuses available

Prospectuses type
Offer document
Type of securities
Share
Nominal value
1
Currency
EUR
Date
13.03.2017
Amount
362000
Prospectuses available

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1
Currency
EUR
Date
05.07.2016
Amount
1829381
Prospectuses available

Akciju sabiedrība "Latvenergo"

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
25.04.2022
Amount
150000000

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
26.04.2021
Amount
200000000

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
27.04.2020
Amount
200000000

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
Galīgajos noteikumos
Date
26.05.2015
Amount
100000000 EUR
Prospectuses available

Akciju sabiedrība "Latvijas Gāze"

Prospectuses type
Prospectus of the share buy-back offer
Type of securities
Share
Date
24.07.2024

Akciju sabiedrība "Moda Kapitāls"

Prospectuses type
Prospectus
Type of securities
Bond
Nominal value
1000
Currency
EUR
Date
20.10.2015
Amount
2300000 EUR
Prospectuses available

Akciju sabiedrība "Reģionālā investīciju banka"

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
USD
Date
05.01.2016
Amount
20000000 USD
Prospectuses available

Akciju sabiedrība "VALMIERAS STIKLA ŠĶIEDRA"

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.40
Currency
EUR
Date
25.06.2018
Amount
12408955
Prospectuses available

Akciju sabiedrība "VEF"

Prospectuses type
Prospectus of the share buy-back offer
Type of securities
Share
Date
14.06.2023
Prospectuses available

Akciju sabiedrība "VIRŠI-A"

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
0.50
Currency
EUR
Date
18.10.2021
Amount
1735489

Akciju sabiedrība “Augstsprieguma tīkls”

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
04.10.2021
Amount
160 000 000 EUR
Prospectuses available

Amber Beverage Group Holding S.à r.l.

Prospectuses type
Prospectus
Type of securities
Bond
Nominal value
1000
Currency
EUR
Date
27.09.2023
Amount
30000

AS "APF Holdings"

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
04.10.2023
Amount
1130930

AS "DelfinGroup"

Prospectuses type
Prospectus
Type of securities
Bond
Nominal value
100
Currency
EUR
Date
23.08.2024
Amount
150000

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
0.10
Currency
EUR
Date
15.05.2024
Amount
7795000

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
0.10
Currency
EUR
Date
15.05.2024
Amount
4190000

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
0.10
Currency
EUR
Date
20.09.2021
Amount
8395000
Prospectuses available

AS "Eco Baltia"

Prospectuses type
Offer document
Type of securities
Bond
Nominal value
1000
Currency
EUR
Date
30.01.2023
Amount
8000

AS "MADARA Cosmetics"

Prospectuses type
Issue Prospectus
Type of securities
Share
Nominal value
0.10
Currency
EUR
Date
21.09.2017
Amount
530442
Prospectuses available

AS "mogo"

Prospectuses type
Prospectus
Type of securities
Bond
Nominal value
1000
Currency
EUR
Date
01.02.2021
Amount
30000000
Prospectuses available

AS "RĪGAS FARMACEITISKĀ FABRIKA"

Prospectuses type
Offer document
Type of securities
Share
Nominal value
1.4
Currency
EUR
Date
31.03.2015
Amount
1430000
Prospectuses available

AS "Storent Investments"

Prospectuses type
Prospectus
Type of securities
Bond
Nominal value
100
Currency
EUR
Date
17.06.2018
Amount
100000
Prospectuses available

AS Grenardi Group

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
20.03.2024
Amount
17000000 EUR

AS TWINO Properties

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
03.10.2024
Amount
60395

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
22.07.2024
Amount
69376

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
12.06.2024
Amount
69373

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
15.05.2024
Amount
69349

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
20.03.2024
Amount
133184

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
28.02.2024
Amount
133184

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
07.02.2024
Amount
99648

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
24.01.2024
Amount
88473

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
03.01.2024
Amount
88474

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
20.12.2023
Amount
88474

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
06.12.2023
Amount
40298

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
22.11.2023
Amount
40301

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
25.10.2023
Amount
40301

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
04.10.2023
Amount
40301

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
02.08.2023
Amount
317295

BluOr Bank AS

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
1000
Currency
EUR
Date
30.08.2024
Amount
30000

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
1000
Currency
EUR
Date
09.05.2022
Amount
15000

CITIBANK, N.A.

Prospectuses type
Issue Prospectus
Type of securities
Depository receipts
Nominal value
-
Currency
-
Date
21.10.2015
Amount
16666667
Prospectuses available

Indemo SPV Issuer No1 SIA

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
15.05.2024
Amount
2500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.05.2023
Amount
2500000000

IPAS "Indexo"

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
06.12.2023
Amount
1150000

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
1.00
Currency
EUR
Date
20.06.2022
Amount
535000
Prospectuses available

Joint Stock Company "Baltic RE Group"

Prospectuses type
Issue Prospectus
Type of securities
Bond
Nominal value
1000
Currency
EUR
Date
07.11.2016
Amount
4000000 EUR
Prospectuses available

New Hanza Capital, AS

Prospectuses type
Issue Prospectus
Type of securities
Bond
Nominal value
1000
Currency
EUR
Date
29.08.2017
Amount
10000
Prospectuses available

Sabiedrība ar ierobežotu atbildību "Baltic Dairy Board"

Prospectuses type
Prospectus
Type of securities
Bond
Nominal value
1000
Currency
EUR
Date
06.10.2015
Amount
950000 EUR
Prospectuses available

Sabiedrība ar ierobežotu atbildību "VIA SMS group"

Prospectuses type
Prospectus
Type of securities
Bond
Nominal value
10
Currency
EUR
Date
05.07.2016
Amount
6300000 EUR
Prospectuses available

SIA "AgroCredit Latvia"

Prospectuses type
Prospectus
Type of securities
Bond
Nominal value
5000
Currency
EUR
Date
28.07.2016
Amount
2000

SIA "Marijas 2"

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
08.05.2024
Amount
50000000

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
24.05.2023
Amount
20000000

SIA "Multi Invest"

Prospectuses type
Offer document
Type of securities
Bond
Nominal value
50
Currency
EUR
Date
29.09.2023
Amount
60000

SIA "Multitalent Investments"

Prospectuses type
Offer document
Type of securities
Bond
Nominal value
50
Currency
EUR
Date
22.09.2020
Amount
3000000
Prospectuses available

SIA "Nectaro Alpha"

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.09.2024
Amount
500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
04.10.2023
Amount
500000000

SIA "Nectaro Bravo"

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.01.2024
Amount
500000000

SIA "Solar Invest"

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
50
Currency
EUR
Date
07.02.2024
Amount
300000

SIA "Storent Holdings"

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
Galīgajos noteikumos
Currency
EUR
Date
30.05.2023
Amount
15000000

SIA "VIAINVEST Assets"

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.06.2024
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.06.2024
Amount
3000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.06.2024
Amount
15000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.06.2024
Amount
10000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.07.2023
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.07.2023
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.07.2023
Amount
4500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
05.07.2023
Amount
1500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
05.07.2023
Amount
5000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.09.2022
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
25.07.2022
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
25.07.2022
Amount
4500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
18.07.2022
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
18.07.2022
Amount
1500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
18.07.2022
Amount
4000000000

SIA DN Funding Alpha

Prospectuses type
Offer document
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.02.2022
Amount
800000000

SIA DN Funding Beta

Prospectuses type
Offer document
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.02.2023
Amount
400000000

Prospectuses type
Offer document
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.01.2023
Amount
220000000

Prospectuses type
Offer document
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.12.2022
Amount
180000000

Prospectuses type
Offer document
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
16.03.2022
Amount
450000000

Prospectuses type
Offer document
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
28.02.2022
Amount
350000000

SIA DN Funding Delta

Prospectuses type
Offer document
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
15.12.2023
Amount
800000000

SIA DN Funding Epsilon

Prospectuses type
Offer document
Type of securities
Note
Nominal value
0.01
Date
15.05.2023
Amount
800000000

SIA DN Funding Eta

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
04.10.2024
Amount
1600000000

SIA DN Funding Gamma

Prospectuses type
Offer document
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.12.2022
Amount
800000000

SIA DN Funding Zeta

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.06.2024
Amount
800000000

SIA EC finance

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
0.10
Currency
EUR
Date
17.05.2023
Amount
1510000

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
0.10
Currency
EUR
Date
19.09.2022
Amount
1750000

SIA L24 Finance

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
0.10
Currency
EUR
Date
17.05.2023
Amount
3150000

Prospectuses type
Prospectus
Type of securities
Share
Nominal value
0.10
Currency
EUR
Date
19.09.2022
Amount
3650000

SIA Mintos Finance No.1

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
10.09.2024
Amount
4000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
24.04.2024
Amount
13000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.04.2024
Amount
4000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.04.2024
Amount
3500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.04.2024
Amount
4000000000

Prospectuses type
Base prospectus
Type of securities
Bond
Nominal value
0.01
Currency
EUR
Date
10.04.2024
Amount
4000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.04.2024
Amount
7000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.01.2024
Amount
4000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
13.09.2023
Amount
6000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
28.06.2023
Amount
5000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
24.05.2023
Amount
13000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.05.2023
Amount
7000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
19.04.2023
Amount
3000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
19.04.2023
Amount
4000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.04.2023
Amount
4000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
05.04.2023
Amount
4000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
05.04.2023
Amount
4000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.12.2022
Amount
4000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
19.09.2022
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
27.06.2022
Amount
5000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
23.05.2022
Amount
11500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
23.05.2022
Amount
3000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
25.04.2022
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.04.2022
Amount
2500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.04.2022
Amount
3000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.04.2022
Amount
4000000000

SIA Mintos Finance No.10

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.04.2024
Amount
12500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.04.2024
Amount
13000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.05.2023
Amount
12500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.05.2023
Amount
13000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.05.2022
Amount
12500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.05.2022
Amount
13000000000

SIA Mintos Finance No.11

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
22.07.2024
Amount
3500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
16.05.2022
Amount
3500000000

SIA Mintos Finance No.12

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.05.2022
Amount
1000000000

SIA Mintos Finance No.13

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
24.04.2024
Amount
3000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.05.2023
Amount
3000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.05.2022
Amount
3000000000

SIA Mintos Finance No.14

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.04.2024
Amount
3500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.04.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
02.05.2022
Amount
2000000000

SIA Mintos Finance No.15

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.04.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
02.05.2022
Amount
1500000000

SIA Mintos Finance No.16

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.06.2024
Amount
15000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
28.06.2023
Amount
1140000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.05.2023
Amount
2500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
KZT
Date
11.07.2022
Amount
1140000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.05.2022
Amount
2500000000

SIA Mintos Finance No.17

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.06.2024
Amount
7500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.05.2023
Amount
7500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.05.2022
Amount
5500000000

SIA Mintos Finance No.18

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
24.04.2024
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
24.04.2024
Amount
3000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.05.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.04.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
16.05.2022
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
16.05.2022
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
02.05.2022
Amount
1000000000

SIA Mintos Finance No.19

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.09.2024
Amount
500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
13.12.2023
Amount
500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.05.2022
Amount
6000000000

SIA Mintos Finance No.2

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
10.05.2023
Amount
9500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
25.04.2022
Amount
9500000000

SIA Mintos Finance No.20

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
10.04.2024
Amount
5000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
10.04.2024
Amount
14500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
19.04.2023
Amount
5000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
19.04.2023
Amount
14500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
25.04.2022
Amount
5000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
25.04.2022
Amount
14500000000

SIA Mintos Finance No.21

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
PLN
Date
11.07.2022
Amount
139500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
PLN
Date
11.07.2022
Amount
139500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.07.2022
Amount
30000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.07.2022
Amount
30000000000

SIA Mintos Finance No.22

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
24.04.2024
Amount
3000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
10.05.2023
Amount
3000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
06.06.2022
Amount
1500000000

SIA Mintos Finance No.23

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
29.05.2024
Amount
10000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
30.05.2023
Amount
5200000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
13.06.2022
Amount
5200000000

SIA Mintos Finance No.24

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
13.06.2022
Amount
6000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
13.06.2022
Amount
9000000000

SIA Mintos Finance No.25

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
08.05.2024
Amount
2500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
10.05.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
23.05.2022
Amount
1000000000

SIA Mintos Finance No.26

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.06.2024
Amount
6500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
28.06.2023
Amount
6500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
27.06.2022
Amount
6500000000

SIA Mintos Finance No.27

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
KZT
Date
10.07.2024
Amount
2150000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
KZT
Date
12.07.2023
Amount
2150000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
14.06.2023
Amount
45000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
KZT
Date
18.07.2022
Amount
2150000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
20.06.2022
Amount
45000000000

SIA Mintos Finance No.28

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
KZT
Date
10.07.2024
Amount
1000000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.06.2024
Amount
21000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
KZT
Date
19.07.2023
Amount
1000000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
14.06.2023
Amount
21000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
KZT
Date
18.07.2022
Amount
1000000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
20.06.2022
Amount
21000000000

SIA Mintos Finance No.29

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
22.05.2024
Amount
5000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
28.06.2023
Amount
5000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
27.06.2022
Amount
5000000000

SIA Mintos Finance No.3

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
29.05.2024
Amount
30000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.04.2023
Amount
30000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
02.05.2022
Amount
30000000000

SIA Mintos Finance No.30

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
PLN
Date
15.08.2022
Amount
139500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
15.08.2022
Amount
30000000000

SIA Mintos Finance No.31

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
15.05.2024
Amount
70000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
14.06.2023
Amount
70000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
20.06.2022
Amount
70000000000

SIA Mintos Finance No.32

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
02.05.2024
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
22.08.2022
Amount
1000000000

SIA Mintos Finance No.33

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
13.03.2024
Amount
5400000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.07.2022
Amount
5400000000

SIA Mintos Finance No.34

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
08.05.2024
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
24.05.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
20.06.2022
Amount
1000000000

SIA Mintos Finance No.35

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
20.06.2022
Amount
500000000

SIA Mintos Finance No.36

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.07.2024
Amount
9000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
19.07.2023
Amount
9000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
25.07.2022
Amount
7500000000

SIA Mintos Finance No.37

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
04.07.2022
Amount
8100000000

SIA Mintos Finance No.38

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
06.09.2024
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.07.2024
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.08.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
19.07.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
22.08.2022
Amount
500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
25.07.2022
Amount
1500000000

SIA Mintos Finance No.39

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.08.2023
Amount
5000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
01.08.2022
Amount
4500000000

SIA Mintos Finance No.4

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
08.05.2024
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.05.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.05.2022
Amount
1500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.05.2022
Amount
500000000

SIA Mintos Finance No.40

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
09.08.2023
Amount
6000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
15.08.2022
Amount
4000000000

SIA Mintos Finance No.41

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
05.07.2023
Amount
25000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
05.07.2023
Amount
25000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.07.2022
Amount
25000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.07.2022
Amount
25000000000

SIA Mintos Finance No.42

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
31.10.2022
Amount
5000000000

SIA Mintos Finance No.43

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.08.2024
Amount
7500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
19.07.2023
Amount
7500000000

SIA Mintos Finance No.44

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
23.08.2023
Amount
3000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
22.08.2022
Amount
3000000000

SIA Mintos Finance No.45

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
19.09.2024
Amount
1500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.09.2024
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
10.07.2024
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.06.2024
Amount
700000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.06.2024
Amount
500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
03.04.2024
Amount
500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
13.03.2024
Amount
500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
06.03.2024
Amount
1000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
28.02.2024
Amount
3000000000

SIA Mintos Finance No.46

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
06.12.2023
Amount
500000000

SIA Mintos Finance No.47

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
06.12.2023
Amount
6000000000

SIA Mintos Finance No.48

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
06.03.2024
Amount
15000000000

SIA Mintos Finance No.49

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.01.2024
Amount
2500000000

SIA Mintos Finance No.5

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
13.03.2024
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
29.03.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.04.2022
Amount
2000000000

SIA Mintos Finance No.50

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.08.2024
Amount
10000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.10.2023
Amount
10000000000

SIA Mintos Finance No.51

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
02.05.2024
Amount
18000000000

SIA Mintos Finance No.52

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
02.05.2024
Amount
7500000000

SIA Mintos Finance No.6

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
10.07.2024
Amount
22000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
24.04.2024
Amount
7000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
24.04.2024
Amount
15000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.07.2023
Amount
22000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.04.2023
Amount
7000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
26.04.2023
Amount
15000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.07.2022
Amount
22000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
25.04.2022
Amount
7000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
25.04.2022
Amount
13000000000

SIA Mintos Finance No.7

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
13.03.2024
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
23.08.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
29.03.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
29.08.2022
Amount
500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.04.2022
Amount
800000000

SIA Mintos Finance No.8

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
29.05.2024
Amount
3500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
05.04.2023
Amount
3500000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.04.2022
Amount
3500000000

SIA Mintos Finance No.9

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
17.04.2024
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
12.04.2023
Amount
2000000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
0.01
Currency
EUR
Date
11.04.2022
Amount
500000000

SIA TWINO Investments Latvia

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
1.00
Currency
EUR
Date
05.09.2022
Amount
75000000

SIA TWINO Investments Poland

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
1.00
Currency
EUR
Date
22.05.2024
Amount
90000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
1.00
Currency
EUR
Date
01.11.2023
Amount
10000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
1.00
Currency
EUR
Date
06.09.2023
Amount
30000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
1.00
Currency
EUR
Date
17.05.2023
Amount
90000000

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
1.00
Currency
EUR
Date
27.06.2022
Amount
30000000

SIA TWINO Investments Vietnam

Prospectuses type
Base prospectus
Type of securities
Note
Nominal value
1.00
Currency
EUR
Date
07.11.2022
Amount
10000000

How to become a market participant

In order to become a participant of Latvian financial and capital markets and commence business activities, a credit institution, an insurance company, a reinsurance company, an insurance broker, a credit union, an investment management company, an investment firm, an operator of regulated market, a pension fund, a payment institution, an electronic money institution, as well as an alternative investment fund manager shall obtain operating authorisation (licence).

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