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

ISIN Nominal value Issue amount Currency Maturity date
LV0000802122 1 000 2 000 000 USD 21.06.2018.

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

Attached: AS “Baltic International Bank” Base Prospectus of the Third Bond Offer Program and Final Terms of Bond Issue Series in Latvian.