Product ID Country Publishing date Total interest rate Initial term Remaining term Issuance amount Published for investment Secure investment
LVX0000KPJO7
12.01.2025 12.00 178 days 178 days 2379.75 535.03
LVX0000KRYJ2
12.01.2025 10.00 90 days 90 days 2054.35 2044.35
LVX0000KPJL3
12.01.2025 12.00 178 days 178 days 2679.00 2153.86
LVX0000KRV72
12.01.2025 10.00 89 days 89 days 5992.14 5982.14
LVX0000KP6V8
11.01.2025 12.00 177 days 177 days 3647.39 3637.39
LVX0000KP6Z9
11.01.2025 12.00 177 days 177 days 3049.80 3039.80
LVX0000KPH56
11.01.2025 12.00 178 days 178 days 4270.25 4165.25
LVX0000KPDD3
11.01.2025 12.00 178 days 178 days 2771.72 2761.72
LVX0000KPDA9
11.01.2025 12.00 178 days 178 days 1248.55 1188.55
LVX0000KPH49
11.01.2025 12.00 178 days 178 days 2016.98 2006.98