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Bonds

Today’s investor is You!

New - from now on you can invest in bonds starting from EUR 1000*!

Why choose bonds:

  • Fixed yields.
  • Free safekeeping of securities up to EUR 30 000.
  • Usually lower investment risk.

* Investing from 1000 EUR is available in the lithuanian bond issues listed below. The standard minimum purchase value of other bonds is from EUR 10 000.

New! Bonds available from EUR 1000:

Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF REP. OF LITHUANIA, LT0000630105 100.00EUR 3.900% 2026-08-02
(days 739)
104.58EUR 3.500% 105.36EUR 3.100% add minus
Par amount
100.00EUR
Coupon
3.900%
Maturity date (days to maturity)
2026-08-02 (days 739)
Bid
104.58EUR
Bid Yield to maturity
3.500%
Ask
105.36EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, LT0000650087 100.00EUR 2.300% 2027-07-13
(days 1084)
96.48EUR 3.600% 97.57EUR 3.200% add minus
Par amount
100.00EUR
Coupon
2.300%
Maturity date (days to maturity)
2027-07-13 (days 1084)
Bid
96.48EUR
Bid Yield to maturity
3.600%
Ask
97.57EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, LT0000670069 100.00EUR 2.400% 2029-12-15
(days 1970)
95.67EUR 3.600% 97.55EUR 3.200% add minus
Par amount
100.00EUR
Coupon
2.400%
Maturity date (days to maturity)
2029-12-15 (days 1970)
Bid
95.67EUR
Bid Yield to maturity
3.600%
Ask
97.55EUR
Actions

Bonds available from EUR 10 000 or more:

Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF REP. OF LITHUANIA, LT1000610014 100.00EUR 2.100% 2024-11-06
(days 105)
101.04EUR 3.700% 101.15EUR 3.300% add minus
Par amount
100.00EUR
Coupon
2.100%
Maturity date (days to maturity)
2024-11-06 (days 105)
Bid
101.04EUR
Bid Yield to maturity
3.700%
Ask
101.15EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, LT0000630097 100.00EUR 1.300% 2025-08-04
(days 376)
99.08EUR 3.500% 99.37EUR 3.200% minus
Par amount
100.00EUR
Coupon
1.300%
Maturity date (days to maturity)
2025-08-04 (days 376)
Bid
99.08EUR
Bid Yield to maturity
3.500%
Ask
99.37EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, XS1310032187 1 000.00EUR 1.250% 2025-10-22
(days 455)
982.51EUR 3.500% 986.02EUR 3.200% minus
Par amount
1 000.00EUR
Coupon
1.250%
Maturity date (days to maturity)
2025-10-22 (days 455)
Bid
982.51EUR
Bid Yield to maturity
3.500%
Ask
986.02EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, LT0000670036 100.00EUR 0.800% 2025-11-21
(days 485)
97.10EUR 3.500% 97.60EUR 3.100% add minus
Par amount
100.00EUR
Coupon
0.800%
Maturity date (days to maturity)
2025-11-21 (days 485)
Bid
97.10EUR
Bid Yield to maturity
3.500%
Ask
97.60EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, LT0000610073 100.00EUR 1.100% 2027-04-26
(days 1006)
93.82EUR 3.600% 94.82EUR 3.200% minus
Par amount
100.00EUR
Coupon
1.100%
Maturity date (days to maturity)
2027-04-26 (days 1006)
Bid
93.82EUR
Bid Yield to maturity
3.600%
Ask
94.82EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, XS1619567677 1 000.00EUR 0.950% 2027-05-26
(days 1036)
936.36EUR 3.400% 944.03EUR 3.100% add minus
Par amount
1 000.00EUR
Coupon
0.950%
Maturity date (days to maturity)
2027-05-26 (days 1036)
Bid
936.36EUR
Bid Yield to maturity
3.400%
Ask
944.03EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, LT0000670051 100.00EUR 0.000% 2028-03-03
(days 1318)
88.03EUR 3.600% 89.26EUR 3.200% minus
Par amount
100.00EUR
Coupon
0.000%
Maturity date (days to maturity)
2028-03-03 (days 1318)
Bid
88.03EUR
Bid Yield to maturity
3.600%
Ask
89.26EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, LT0000610305 100.00EUR 1.200% 2028-05-03
(days 1379)
91.94EUR 3.600% 93.27EUR 3.200% minus
Par amount
100.00EUR
Coupon
1.200%
Maturity date (days to maturity)
2028-05-03 (days 1379)
Bid
91.94EUR
Bid Yield to maturity
3.600%
Ask
93.27EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, LT0000610081 100.00EUR 0.200% 2029-08-28
(days 1861)
84.61EUR 3.600% 86.29EUR 3.200% minus
Par amount
100.00EUR
Coupon
0.200%
Maturity date (days to maturity)
2029-08-28 (days 1861)
Bid
84.61EUR
Bid Yield to maturity
3.600%
Ask
86.29EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, XS2168038847 1 000.00EUR 0.750% 2030-05-06
(days 2112)
858.98EUR 3.520% 874.02EUR 3.200% add minus
Par amount
1 000.00EUR
Coupon
0.750%
Maturity date (days to maturity)
2030-05-06 (days 2112)
Bid
858.98EUR
Bid Yield to maturity
3.520%
Ask
874.02EUR
Actions
GOVERNMENT OF REP. OF LITHUANIA, LT0000612012 100.00EUR 0.300% 2032-02-12
(days 2759)
78.08EUR 3.700% 80.37EUR 3.300% minus
Par amount
100.00EUR
Coupon
0.300%
Maturity date (days to maturity)
2032-02-12 (days 2759)
Bid
78.08EUR
Bid Yield to maturity
3.700%
Ask
80.37EUR
Actions
Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF REP. OF LATVIA, XS1295778275 1 000.00EUR 1.375% 2025-09-23
(days 426)
981.99EUR 4.020% 988.43EUR 3.430% minus
Par amount
1 000.00EUR
Coupon
1.375%
Maturity date (days to maturity)
2025-09-23 (days 426)
Bid
981.99EUR
Bid Yield to maturity
4.020%
Ask
988.43EUR
Actions
GOVERNMENT OF REP. OF LATVIA, XS1501554874 1 000.00EUR 0.375% 2026-10-07
(days 805)
935.38EUR 3.620% 942.74EUR 3.250% add minus
Par amount
1 000.00EUR
Coupon
0.375%
Maturity date (days to maturity)
2026-10-07 (days 805)
Bid
935.38EUR
Bid Yield to maturity
3.620%
Ask
942.74EUR
Actions
GOVERNMENT OF REP. OF LATVIA, XS1829276275 1 000.00EUR 1.125% 2028-05-30
(days 1406)
924.15EUR 3.310% 935.22EUR 2.980% add minus
Par amount
1 000.00EUR
Coupon
1.125%
Maturity date (days to maturity)
2028-05-30 (days 1406)
Bid
924.15EUR
Bid Yield to maturity
3.310%
Ask
935.22EUR
Actions
GOVERNMENT OF REP. OF LATVIA, XS2361416915 1 000.00EUR 0.000% 2029-01-24
(days 1645)
870.59EUR 3.260% 881.38EUR 2.950% add minus
Par amount
1 000.00EUR
Coupon
0.000%
Maturity date (days to maturity)
2029-01-24 (days 1645)
Bid
870.59EUR
Bid Yield to maturity
3.260%
Ask
881.38EUR
Actions
GOVERNMENT OF REP. OF LATVIA, XS2420426038 1 000.00EUR 0.250% 2030-01-23
(days 2009)
835.64EUR 3.630% 851.34EUR 3.270% add minus
Par amount
1 000.00EUR
Coupon
0.250%
Maturity date (days to maturity)
2030-01-23 (days 2009)
Bid
835.64EUR
Bid Yield to maturity
3.630%
Ask
851.34EUR
Actions
GOVERNMENT OF REP. OF LATVIA, XS2317123052 1 000.00EUR 0.000% 2031-03-17
(days 2427)
806.91EUR 3.550% 819.79EUR 3.260% add minus
Par amount
1 000.00EUR
Coupon
0.000%
Maturity date (days to maturity)
2031-03-17 (days 2427)
Bid
806.91EUR
Bid Yield to maturity
3.550%
Ask
819.79EUR
Actions
GOVERNMENT OF REP. OF LATVIA, XS1409726731 1 000.00EUR 1.375% 2036-05-16
(days 4314)
783.80EUR 3.700% 807.06EUR 3.420% add minus
Par amount
1 000.00EUR
Coupon
1.375%
Maturity date (days to maturity)
2036-05-16 (days 4314)
Bid
783.80EUR
Bid Yield to maturity
3.700%
Ask
807.06EUR
Actions
Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF GERMANY, DE000BU0E154 0.01EUR 0.000% 2025-03-19
(days 238)
0.009775EUR 3.480% 0.009823EUR 2.730% add minus
Par amount
0.01EUR
Coupon
0.000%
Maturity date (days to maturity)
2025-03-19 (days 238)
Bid
0.009775EUR
Bid Yield to maturity
3.480%
Ask
0.009823EUR
Actions
GOVERNMENT OF GERMANY, DE000BU0E162 0.01EUR 0.000% 2025-04-16
(days 266)
0.009754EUR 3.420% 0.009802EUR 2.740% add minus
Par amount
0.01EUR
Coupon
0.000%
Maturity date (days to maturity)
2025-04-16 (days 266)
Bid
0.009754EUR
Bid Yield to maturity
3.420%
Ask
0.009802EUR
Actions
Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF FRANCE, FR0128227826 1.00EUR 0.000% 2025-03-26
(days 245)
0.97598EUR 3.620% 0.9808EUR 2.880% add minus
Par amount
1.00EUR
Coupon
0.000%
Maturity date (days to maturity)
2025-03-26 (days 245)
Bid
0.97598EUR
Bid Yield to maturity
3.620%
Ask
0.9808EUR
Actions
GOVERNMENT OF FRANCE, FR0128379494 1.00EUR 0.000% 2025-05-21
(days 301)
0.97133EUR 3.530% 0.97603EUR 2.940% add minus
Par amount
1.00EUR
Coupon
0.000%
Maturity date (days to maturity)
2025-05-21 (days 301)
Bid
0.97133EUR
Bid Yield to maturity
3.530%
Ask
0.97603EUR
Actions
Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF ROMANIA, XS2178857285 1 000.00EUR 2.750% 2026-02-26
(days 582)
991.26EUR 4.070% 999.22EUR 3.540% add minus
Par amount
1 000.00EUR
Coupon
2.750%
Maturity date (days to maturity)
2026-02-26 (days 582)
Bid
991.26EUR
Bid Yield to maturity
4.070%
Ask
999.22EUR
Actions
GOVERNMENT OF ROMANIA, XS1934867547 1 000.00EUR 2.000% 2026-12-08
(days 867)
968.15EUR 4.000% 980.57EUR 3.420% add minus
Par amount
1 000.00EUR
Coupon
2.000%
Maturity date (days to maturity)
2026-12-08 (days 867)
Bid
968.15EUR
Bid Yield to maturity
4.000%
Ask
980.57EUR
Actions
GOVERNMENT OF ROMANIA, XS1599193403 1 000.00EUR 2.375% 2027-04-19
(days 999)
963.90EUR 4.040% 974.16EUR 3.630% add minus
Par amount
1 000.00EUR
Coupon
2.375%
Maturity date (days to maturity)
2027-04-19 (days 999)
Bid
963.90EUR
Bid Yield to maturity
4.040%
Ask
974.16EUR
Actions
GOVERNMENT OF ROMANIA, XS1420357318 1 000.00EUR 2.875% 2028-05-26
(days 1402)
948.81EUR 4.490% 962.41EUR 4.090% add minus
Par amount
1 000.00EUR
Coupon
2.875%
Maturity date (days to maturity)
2028-05-26 (days 1402)
Bid
948.81EUR
Bid Yield to maturity
4.490%
Ask
962.41EUR
Actions
GOVERNMENT OF ROMANIA, XS1892141620 1 000.00EUR 2.875% 2029-03-11
(days 1691)
942.02EUR 4.550% 957.80EUR 4.150% add minus
Par amount
1 000.00EUR
Coupon
2.875%
Maturity date (days to maturity)
2029-03-11 (days 1691)
Bid
942.02EUR
Bid Yield to maturity
4.550%
Ask
957.80EUR
Actions
GOVERNMENT OF ROMANIA, XS2178857954 1 000.00EUR 3.624% 2030-05-26
(days 2132)
925.37EUR 5.260% 945.33EUR 4.840% add minus
Par amount
1 000.00EUR
Coupon
3.624%
Maturity date (days to maturity)
2030-05-26 (days 2132)
Bid
925.37EUR
Bid Yield to maturity
5.260%
Ask
945.33EUR
Actions
GOVERNMENT OF ROMANIA, XS2201851172 2 000.00USD 3.000% 2031-02-14
(days 2396)
1 697.71USD 6.080% 1 730.69USD 5.740% add minus
Par amount
2 000.00USD
Coupon
3.000%
Maturity date (days to maturity)
2031-02-14 (days 2396)
Bid
1 697.71USD
Bid Yield to maturity
6.080%
Ask
1 730.69USD
Actions
GOVERNMENT OF ROMANIA, XS2027596530 1 000.00EUR 2.124% 2031-07-16
(days 2548)
806.53EUR 5.550% 827.39EUR 5.140% add minus
Par amount
1 000.00EUR
Coupon
2.124%
Maturity date (days to maturity)
2031-07-16 (days 2548)
Bid
806.53EUR
Bid Yield to maturity
5.550%
Ask
827.39EUR
Actions
GOVERNMENT OF ROMANIA, XS2109812508 1 000.00EUR 2.000% 2032-01-28
(days 2744)
795.87EUR 5.560% 815.92EUR 5.180% add minus
Par amount
1 000.00EUR
Coupon
2.000%
Maturity date (days to maturity)
2032-01-28 (days 2744)
Bid
795.87EUR
Bid Yield to maturity
5.560%
Ask
815.92EUR
Actions
GOVERNMENT OF ROMANIA, XS1313004928 1 000.00EUR 3.875% 2035-10-29
(days 4114)
874.12EUR 5.780% 901.78EUR 5.410% add minus
Par amount
1 000.00EUR
Coupon
3.875%
Maturity date (days to maturity)
2035-10-29 (days 4114)
Bid
874.12EUR
Bid Yield to maturity
5.780%
Ask
901.78EUR
Actions
GOVERNMENT OF ROMANIA, XS2364200514 1 000.00EUR 2.875% 2042-04-13
(days 6472)
662.40EUR 6.130% 691.15EUR 5.780% add minus
Par amount
1 000.00EUR
Coupon
2.875%
Maturity date (days to maturity)
2042-04-13 (days 6472)
Bid
662.40EUR
Bid Yield to maturity
6.130%
Ask
691.15EUR
Actions
GOVERNMENT OF ROMANIA, XS2109813142 1 000.00EUR 3.375% 2050-01-28
(days 9319)
678.96EUR 5.990% 716.55EUR 5.610% add minus
Par amount
1 000.00EUR
Coupon
3.375%
Maturity date (days to maturity)
2050-01-28 (days 9319)
Bid
678.96EUR
Bid Yield to maturity
5.990%
Ask
716.55EUR
Actions
Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF CROATIA, XS1117298916 1 000.00EUR 3.000% 2025-03-11
(days 230)
1 006.64EUR 3.700% 1 011.23EUR 2.960% add minus
Par amount
1 000.00EUR
Coupon
3.000%
Maturity date (days to maturity)
2025-03-11 (days 230)
Bid
1 006.64EUR
Bid Yield to maturity
3.700%
Ask
1 011.23EUR
Actions
GOVERNMENT OF CROATIA, XS1428088626 1 000.00EUR 3.000% 2027-03-20
(days 969)
1 000.42EUR 3.400% 1 011.32EUR 2.960% add minus
Par amount
1 000.00EUR
Coupon
3.000%
Maturity date (days to maturity)
2027-03-20 (days 969)
Bid
1 000.42EUR
Bid Yield to maturity
3.400%
Ask
1 011.32EUR
Actions
GOVERNMENT OF CROATIA, XS1713462668 1 000.00EUR 2.700% 2028-06-15
(days 1422)
983.33EUR 3.240% 998.96EUR 2.810% add minus
Par amount
1 000.00EUR
Coupon
2.700%
Maturity date (days to maturity)
2028-06-15 (days 1422)
Bid
983.33EUR
Bid Yield to maturity
3.240%
Ask
998.96EUR
Actions
GOVERNMENT OF CROATIA, XS1843434876 1 000.00EUR 1.125% 2029-06-19
(days 1791)
902.71EUR 3.330% 921.89EUR 2.880% add minus
Par amount
1 000.00EUR
Coupon
1.125%
Maturity date (days to maturity)
2029-06-19 (days 1791)
Bid
902.71EUR
Bid Yield to maturity
3.330%
Ask
921.89EUR
Actions
GOVERNMENT OF CROATIA, XS1713475306 1 000.00EUR 2.750% 2030-01-27
(days 2013)
985.14EUR 3.320% 1 005.19EUR 2.910% add minus
Par amount
1 000.00EUR
Coupon
2.750%
Maturity date (days to maturity)
2030-01-27 (days 2013)
Bid
985.14EUR
Bid Yield to maturity
3.320%
Ask
1 005.19EUR
Actions
GOVERNMENT OF CROATIA, XS2190201983 1 000.00EUR 1.500% 2031-06-17
(days 2519)
887.03EUR 3.390% 908.47EUR 3.010% add minus
Par amount
1 000.00EUR
Coupon
1.500%
Maturity date (days to maturity)
2031-06-17 (days 2519)
Bid
887.03EUR
Bid Yield to maturity
3.390%
Ask
908.47EUR
Actions
GOVERNMENT OF CROATIA, XS2471549654 1 000.00EUR 2.875% 2032-04-22
(days 2829)
977.04EUR 3.330% 1 000.91EUR 2.970% add minus
Par amount
1 000.00EUR
Coupon
2.875%
Maturity date (days to maturity)
2032-04-22 (days 2829)
Bid
977.04EUR
Bid Yield to maturity
3.330%
Ask
1 000.91EUR
Actions
GOVERNMENT OF CROATIA, XS2309428113 1 000.00EUR 1.125% 2033-03-04
(days 3145)
833.65EUR 3.450% 858.08EUR 3.090% add minus
Par amount
1 000.00EUR
Coupon
1.125%
Maturity date (days to maturity)
2033-03-04 (days 3145)
Bid
833.65EUR
Bid Yield to maturity
3.450%
Ask
858.08EUR
Actions
GOVERNMENT OF CROATIA, XS2309433899 1 000.00EUR 1.750% 2041-03-04
(days 6067)
753.09EUR 3.840% 789.92EUR 3.490% add minus
Par amount
1 000.00EUR
Coupon
1.750%
Maturity date (days to maturity)
2041-03-04 (days 6067)
Bid
753.09EUR
Bid Yield to maturity
3.840%
Ask
789.92EUR
Actions
Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF HUNGARY, XS2161992198 1 000.00EUR 1.125% 2026-04-28
(days 643)
954.63EUR 4.010% 961.57EUR 3.580% add minus
Par amount
1 000.00EUR
Coupon
1.125%
Maturity date (days to maturity)
2026-04-28 (days 643)
Bid
954.63EUR
Bid Yield to maturity
4.010%
Ask
961.57EUR
Actions
Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF BULGARIA, XS1208855889 1 000.00EUR 2.625% 2027-03-26
(days 975)
985.02EUR 3.570% 996.85EUR 3.090% add minus
Par amount
1 000.00EUR
Coupon
2.625%
Maturity date (days to maturity)
2027-03-26 (days 975)
Bid
985.02EUR
Bid Yield to maturity
3.570%
Ask
996.85EUR
Actions
GOVERNMENT OF BULGARIA, XS1382696398 1 000.00EUR 3.000% 2028-03-21
(days 1336)
997.75EUR 3.370% 1 014.92EUR 2.860% add minus
Par amount
1 000.00EUR
Coupon
3.000%
Maturity date (days to maturity)
2028-03-21 (days 1336)
Bid
997.75EUR
Bid Yield to maturity
3.370%
Ask
1 014.92EUR
Actions
GOVERNMENT OF BULGARIA, XS2234571425 1 000.00EUR 0.375% 2030-09-23
(days 2252)
824.80EUR 3.660% 845.64EUR 3.230% add minus
Par amount
1 000.00EUR
Coupon
0.375%
Maturity date (days to maturity)
2030-09-23 (days 2252)
Bid
824.80EUR
Bid Yield to maturity
3.660%
Ask
845.64EUR
Actions
GOVERNMENT OF BULGARIA, XS2536817484 1 000.00EUR 4.625% 2034-09-23
(days 3713)
1 082.48EUR 4.090% 1 110.60EUR 3.760% add minus
Par amount
1 000.00EUR
Coupon
4.625%
Maturity date (days to maturity)
2034-09-23 (days 3713)
Bid
1 082.48EUR
Bid Yield to maturity
4.090%
Ask
1 110.60EUR
Actions
GOVERNMENT OF BULGARIA, XS1208856341 1 000.00EUR 3.125% 2035-03-26
(days 3897)
921.28EUR 4.170% 952.25EUR 3.800% add minus
Par amount
1 000.00EUR
Coupon
3.125%
Maturity date (days to maturity)
2035-03-26 (days 3897)
Bid
921.28EUR
Bid Yield to maturity
4.170%
Ask
952.25EUR
Actions
GOVERNMENT OF BULGARIA, XS2234571771 1 000.00EUR 1.375% 2050-09-23
(days 9557)
595.57EUR 3.960% 638.15EUR 3.600% add minus
Par amount
1 000.00EUR
Coupon
1.375%
Maturity date (days to maturity)
2050-09-23 (days 9557)
Bid
595.57EUR
Bid Yield to maturity
3.960%
Ask
638.15EUR
Actions
Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF ROMANIA, XS2485248806 2 000.00USD 5.250% 2027-11-25
(days 1219)
1 983.89USD 5.810% 2 009.63USD 5.380% add minus
Par amount
2 000.00USD
Coupon
5.250%
Maturity date (days to maturity)
2027-11-25 (days 1219)
Bid
1 983.89USD
Bid Yield to maturity
5.810%
Ask
2 009.63USD
Actions

The present list of securities and information about securities provided to customers does not suggest an offer to buy or sell certain securities. Orders are executed in OTC market. Information about the price and the yield of the securities in the list is indicative and may change according to market situation and are applicable for orders up to 100 000 EUR or the minimum amount of purchase of securities. Securities with negative yield to maturity contains real risk of loss. The Bank cautions that international securities issuers are not obligated to provide information to Lithuanian investors, as required in accordance with the acts of law of the Republic of Lithuania and such a situation entails certain risk that holders of international securities may not be timely informed of corporate events related with securities and their issuers.

Bank processes orders during working days till 16:00.

What is it?

A bond is a debt security that is like a loan to a company or a country. When a bond is held for a specified period of time, it pays a fixed return, which is specified at the time of purchase and remains unchanged until redemption.

  • Bonds generate a fixed yield when held until the maturity date.
  • Some bonds pay interest each year (coupon), which is the interest rate, expressed as a percentage, paid on the nominal value of the bond. The coupon amount is set at the time of the bond issue (when the bond is placed on the market) and does not change throughout the life of the bond.
  • If funds are needed during the term of the bond, the investor can sell the bond on the secondary market at the then current prices.
  • Usually investing in bonds gives you a possibility to earn a higher return as compared to other safe savings and investment choices.
  • Bonds can be used as one of the diversifying instruments in an investment portfolio, which normally contributes to reducing the risk of an investment portfolio.
  • If a bond needs to be sold before maturity, the investor will be exposed to a change in the market price of the bond due to changes in market interest rates. As interest rates rise, the price of the bond decreases and vice versa, as interest rates fall, the price of the bond increases. In this case, the return on the investment can generate both profit and loss.
  • Liquidity risk. This is the risk that an investor may suffer a loss due to lack of liquidity (no one willing to buy the bond).
  • Currency risk. This risk occurs when investing in bonds denominated in a currency other than the investor’s main currency.
  • Default risk. This risk occurs when the issuer (companies or public authorities) is unable to pay the stated coupon payments or is unable to repay the principal to the bondholder when due. Default risk is less likely to occur in the purchase of government securities than in the purchase of corporate bonds.

More information on the risks is available documenthere.

  1. Select the bond you want to buy from the list.
  2. Enter the quantity of bonds you want to buy. For example, if you buy 10 bonds with a nominal value of EUR 100 each and a sale price of EUR 99, the transaction amount would be EUR 990. To buy German bonds with a nominal value of EUR 10 000 and the selling price of EUR 0.01, the number of bonds will be 1 000 000.
  3. If you cannot find the bond you want to buy, please call 8-5-2582514.
  4. Check and confirm your bond purchase. Please note that orders are executed until 16:00 on weekdays.

We recommend that you familiarise yourself with the information on documentfinancial instrument transactions and documentthe risks involved before purchasing bonds. Open a securities account in the Internet Bank, if you do not have one.

When buying a bond from the bond list, the fees are already included in the annual yield of the bond and there are no additional fees. The safekeeping of securities up to EUR 30 000 is free of charge. Above EUR 30 000, there is a monthly safekeeping fee of 0.008% of the nominal value of the bond, calculated on the last day of the month.

Please note that once you have received interest/income from the bonds, you need to declare the income, calculate and pay taxes. Interest/income received on securities must be declared in accordance with the applicable legislation. At the end of the calendar year, you will be able to use the annual statement we have prepared for your declaration.

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