Product ID Country Publishing date Total interest rate Initial term Remaining term Issuance amount Published for investment Secure investment
LVX0000O6L27
30.06.2025 11.00 179 days 179 days 2792.54 2742.54
LVX0000O6MR5
30.06.2025 11.00 179 days 179 days 6334.08 1972.72
LVX0000O6JM2
30.06.2025 11.00 179 days 179 days 4721.09 4721.09
LVX0000O7FO4
30.06.2025 11.00 182 days 182 days 1760.51 1710.51
LVX0000O7FN6
30.06.2025 11.00 182 days 182 days 1520.00 1470.00
LVX0000O7FM8
30.06.2025 10.00 90 days 90 days 5172.75 5022.75
LVX0000O7E82
29.06.2025 11.00 182 days 181 days 2531.75 2420.19
LVX0000O7DU6
29.06.2025 11.00 182 days 181 days 1213.90 586.41
LVX0000O6GD7
29.06.2025 11.00 180 days 179 days 7432.37 7182.37
LVX0000O6FC1
29.06.2025 11.00 180 days 179 days 5829.31 5707.31