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EUR 6.50-9.50 UAB GESONS OBLIGACIJOS 26-2028

Security type

Debt instrument

ISIN

LT0000137671

DTI

-

Status

LIVE

Issuer Name
UAB Gesons
FISN
-
CFI
-
DTI
-
Interest rate
Fixed 6.5
Currency
EUR
Volume of issue
3 443 500
Unit nominal value
500
Registration date
2026-05-08
Maturity
2028-05-08
Bond duration
2 years
Payment interval
Quarterly
First interval payment
2026-08-31
Pre-emptive right
No
Maintining entity
Axiology TSS
Minimum settlement unit
1
Settlement unit multiple
1
Issuer agent (representative)
Axiology DLT, UAB