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Debt Management

Securities in international capital markets

Created : 18.07.2017. Updated: 21.07.2021.

EUR denominated securities

ISIN code Issue date (dd.mm.yyyy) Maturity date (dd.mm.yyyy) Coupon Outstanding amount, EUR Documentation  Deal Summary
XS2156474392
(Reg S, GMTN)
  14.04.2023 0.125% 1 000 000 000    
Issue 14.04.2020     1 000 000 000   ico
XS1063399536
(Reg S, GMTN)
30.04.2014 30.04.2024 2,875% 1 000 000 000 Offering Circular ico
XS1295778275
(Reg S, GMTN)
  23.09.2025 1,375% 600 000 000  
Issue 23.09.2015     500 000 000 ico
1st reopening* 20.01.2021     25 000 000 ico
2nd reopening* 10.02.2021     25 000 000 pdf.png
3rd reopening* 21.04.2021     25 000 000

ico

4th reopening* 02.06.2021     25 000 000

ico

XS1501554874
(Reg S, GMTN)
  07.10.2026 0,375% 1 565 000 000  
Issue 07.10.2016     650 000 000 pdf.png
1st reopening 15.02.2017     150 000 000 pdf.png
2nd reopening 07.06.2017     150 000 000 pdf.png
3rd reopening 02.04.2020     550 000 000 pdf.png
4th reopening* 21.10.2020     20 000 000

pdf.png

5th reopening* 11.11.2020     20 000 000            ​pdf.png
6th reopening* 31.03.2021     25 000 000 pdf.png
XS1829276275
(Reg S, GMTN)
  30.05.2028 1,125% 581 750 000

 

Issue 30.05.2018     350 000 000

ico

1st reopening 12.09.2018     150 000 000

ico

2nd reopening* 13.01.2021     17 000 000

ico

3rd reopening* 27.01.2021     24 750 000 pdf.png
4th reopening* 24.02.2021     25 000 000 pdf.png
5th reopening* 22.06.2021     15 000 000

pdf.png

XS2361416915

(Reg S, GMTN)

07.07.2021 29.01.2029 0,000% 500 000 000

pdf.png

XS2317123052 (Reg S, GMTN)   17.03.2031. 0,000% 1 310 500 000  
Issue 17.03.2021     1 250 000 000 ico
1st reopening* 07.05.2021     25 000 000 ico
2nd reopening* 19.05.2021     10 500 000 pdf.png
3rd reopening* 21.07.2021     25 000 000

pdf.png

XS1409726731
(Reg S, GMTN)
  16.05.2036 1,375% 850 000 000  
Issue 16.05.2016     650 000 000 pdf.png
Reopening 07.06.2017     200 000 000 pdf.png
XS1566190945
(Reg S, GMTN)
  15.02.2047 2.250% 1 000 000 000  
Issue 15.02.2017     500 000 000 ico
1st reopening 30.05.2018     300 000 000

ico

2nd reopening 12.09.2018     200 000 000

ico

XS1953056253 
(Reg S, GMTN)
  19.02.2049 1.875% 1 000 000 000  
Issue 19.02.2019     700 000 000

ico

Reopening 27.05.2019     300 000 000

ico

* In addition to government foreign securities, Latvia also issues eurobond taps in domestic market via primary dealers.

Source: The Treasury