Product ID Country Publishing date Total interest rate Initial term Remaining term Issuance amount Published for investment Secure investment
LVX0000QGF04
06.11.2025 10.00 90 days 90 days 2280.00 2160.00
LVX0000QGER7
06.11.2025 10.00 90 days 90 days 1738.86 1738.86
LVX0000QGEL0
06.11.2025 10.00 90 days 90 days 2370.27 2370.27
LVX0000QGEK2
06.11.2025 10.00 90 days 90 days 1703.72 1703.72
LVX0000QGD30
06.11.2025 10.00 90 days 90 days 1068.75 1068.75
LVX0000QGB24
06.11.2025 10.00 90 days 90 days 1287.25 1287.25
LVX0000PXRD6
06.11.2025 11.00 182 days 158 days 7436.03 6009.60
LVX0000PXSI3
06.11.2025 11.00 182 days 159 days 6969.80 4120.95
LVX0000PXKH2
06.11.2025 11.00 182 days 158 days 4174.98 4062.84
LVX0000PXQQ0
06.11.2025 11.00 182 days 158 days 2906.96 2541.81