| Emission name |
Distribution period |
Emission term |
Nominal value |
Coupon |
Coupon periodicity |
Effective annual interest rate |
Final provisions |
| Fixed interest bonds (13) |
13.07.2009-07.08.2009 |
10.08.2009-16.08.2010 |
100 LTL |
10% |
1 time (upon maturity) |
10% |
 |
| Fixed interest bonds (14) |
13.07.2009-07.08.2009 |
10.08.2009-16.08.2010 |
100 EUR |
8% |
1 time (upon maturity) |
8% |
 |
| Fixed interest bonds (15) |
10.08.2009-04.09.2009 |
07.09.2009-13.09.2010 |
100 LTL |
10% |
1 time (upon maturity) |
10% |
 |
| Fixed interest bonds (16) |
10.08.2009-04.09.2009 |
07.09.2009-13.09.2010 |
100 EUR |
8% |
1 time (upon maturity) |
8% |
 |
Basic prospectus |