• Issuance amount 1472.50
  • Remaining term 128 days
  • Total interest rate 13 %
    • Published for investment 0.00
    • Already invested 1472.50
    • Buyback Obligation

Investment profile

ISIN:LVX000042G01
Loan originator country:
Specified currency:EUR
Annual interest rate:13 %
Aggregate nominal value:1,472.50
Nominal value:0.01
Issue price:EUR 0.01 per Security
Publishing date:08.12.2022
Interest commencement date:Issue date of the security
Maturity date:08.06.2023
Type of securities:Asset-backed securities
Interest payment date:Once a month. Starting the following month, on the publication date.
View Key Information Document: Key Information Document
View full Final Terms: Final Terms
View FCMC-approved Prospectus: Prospectus

Latest investments

Investment 1 10.00
Investment 2 30.00
Investment 3 36.85
Investment 4 50.00
Investment 5 10.00
Investment 6 22.00
Investment 7 15.71
Investment 8 10.00
Investment 9 10.22
Investment 10 10.25