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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. Information by telephone 8- 5- 2582737, 8- 5- 2582514.

Bank processes orders during working days till 16:00.

Lithuania

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, LT0000630097 100.00EUR 1.300% 2025-08-04
(days 910)
95.49EUR 3.650% 97.43EUR 2.800% add minus
GOVERNMENT OF REP. OF LITHUANIA, XS1310032187 1 000.00EUR 1.250% 2025-10-22
(days 989)
949.24EUR 3.390% 963.91EUR 2.800% minus
GOVERNMENT OF REP. OF LITHUANIA, LT0000670036 100.00EUR 0.800% 2025-11-21
(days 1019)
92.75EUR 3.650% 94.88EUR 2.800% minus
GOVERNMENT OF REP. OF LITHUANIA, LT0000650061 100.00EUR 0.000% 2026-01-22
(days 1081)
89.94EUR 3.650% 91.90EUR 2.900% minus
GOVERNMENT OF REP. OF LITHUANIA, LT0000650079 100.00EUR 0.000% 2026-06-02
(days 1212)
88.51EUR 3.750% 90.67EUR 3.000% minus
GOVERNMENT OF REP. OF LITHUANIA, LT0000670044 100.00EUR 0.100% 2026-11-27
(days 1390)
87.30EUR 3.750% 89.74EUR 3.000% minus
GOVERNMENT OF REP. OF LITHUANIA, LT0000610073 100.00EUR 1.100% 2027-04-26
(days 1540)
90.71EUR 3.750% 93.07EUR 3.100% add minus
GOVERNMENT OF REP. OF LITHUANIA, XS1619567677 1 000.00EUR 0.950% 2027-05-26
(days 1570)
904.25EUR 3.560% 925.96EUR 2.980% add minus
GOVERNMENT OF REP. OF LITHUANIA, LT0000650087 100.00EUR 2.300% 2027-07-13
(days 1618)
95.30EUR 3.800% 98.05EUR 3.100% add minus
GOVERNMENT OF REP. OF LITHUANIA, LT0000670051 100.00EUR 0.000% 2028-03-03
(days 1852)
82.58EUR 3.850% 85.25EUR 3.200% minus
GOVERNMENT OF REP. OF LITHUANIA, XS2547270756 1 000.00EUR 4.125% 2028-04-25
(days 1905)
1 039.15EUR 3.540% 1 064.95EUR 3.010% add minus
GOVERNMENT OF REP. OF LITHUANIA, LT0000610305 100.00EUR 1.200% 2028-05-03
(days 1913)
88.36EUR 3.900% 91.42EUR 3.200% minus
GOVERNMENT OF REP. OF LITHUANIA, LT0000610081 100.00EUR 0.200% 2029-08-28
(days 2395)
78.56EUR 4.000% 82.34EUR 3.250% minus
GOVERNMENT OF REP. OF LITHUANIA, LT0000670069 100.00EUR 2.400% 2029-12-15
(days 2504)
90.92EUR 4.000% 95.20EUR 3.250% add minus
GOVERNMENT OF REP. OF LITHUANIA, XS2168038847 1 000.00EUR 0.750% 2030-05-06
(days 2646)
819.90EUR 3.720% 851.14EUR 3.170% add minus

Estonia

Issuer,
ISIN
Par amount Coupon Maturity date
(days to maturity)
Bid Bid Yield to maturity Ask Ask Yield to maturity Buy Sell
GOVERNMENT OF ESTONIA, XS2532370231 1 000.00EUR 4.000% 2032-10-12
(days 3536)
1 040.47EUR 3.650% 1 081.44EUR 3.160% add minus

Latvia

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 960)
952.12EUR 3.520% 965.36EUR 2.970% add minus
GOVERNMENT OF REP. OF LATVIA, XS1501554874 1 000.00EUR 0.375% 2026-10-07
(days 1339)
895.19EUR 3.510% 912.20EUR 2.980% add minus
GOVERNMENT OF REP. OF LATVIA, XS1829276275 1 000.00EUR 1.125% 2028-05-30
(days 1940)
896.26EUR 3.460% 914.56EUR 3.050% add minus
GOVERNMENT OF REP. OF LATVIA, XS2361416915 1 000.00EUR 0.000% 2029-01-24
(days 2179)
816.04EUR 3.730% 834.00EUR 3.290% add minus
GOVERNMENT OF REP. OF LATVIA, XS2420426038 1 000.00EUR 0.250% 2030-01-23
(days 2543)
788.80EUR 3.760% 814.01EUR 3.280% add minus
GOVERNMENT OF REP. OF LATVIA, XS2317123052 1 000.00EUR 0.000% 2031-03-17
(days 2961)
768.78EUR 3.660% 787.70EUR 3.280% add minus
GOVERNMENT OF REP. OF LATVIA, XS1409726731 1 000.00EUR 1.375% 2036-05-16
(days 4848)
766.58EUR 3.740% 811.72EUR 3.240% add minus

Bulgaria

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, XS1083844503 1 000.00EUR 2.950% 2024-09-03
(days 575)
1 006.10EUR 3.380% 1 014.83EUR 2.800% add minus
GOVERNMENT OF BULGARIA, XS1208855889 1 000.00EUR 2.625% 2027-03-26
(days 1509)
993.09EUR 3.410% 1 008.69EUR 2.990% add minus
GOVERNMENT OF BULGARIA, XS1382696398 1 000.00EUR 3.000% 2028-03-21
(days 1870)
989.75EUR 3.800% 1 011.94EUR 3.310% add minus
GOVERNMENT OF BULGARIA, XS2234571425 1 000.00EUR 0.375% 2030-09-23
(days 2786)
771.37EUR 3.920% 797.01EUR 3.470% add minus
GOVERNMENT OF BULGARIA, XS1208856341 1 000.00EUR 3.125% 2035-03-26
(days 4431)
914.77EUR 4.340% 951.48EUR 3.920% add minus

Croatia

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 764)
1 021.99EUR 3.270% 1 031.66EUR 2.780% add minus
GOVERNMENT OF CROATIA, XS1428088626 1 000.00EUR 3.000% 2027-03-20
(days 1503)
1 021.15EUR 3.140% 1 039.09EUR 2.680% add minus
GOVERNMENT OF CROATIA, XS1713462668 1 000.00EUR 2.700% 2028-06-15
(days 1956)
986.26EUR 3.350% 1 009.41EUR 2.860% add minus
GOVERNMENT OF CROATIA, XS1843434876 1 000.00EUR 1.125% 2029-06-19
(days 2325)
873.86EUR 3.500% 896.38EUR 3.070% add minus
GOVERNMENT OF CROATIA, XS1713475306 1 000.00EUR 2.750% 2030-01-27
(days 2547)
952.41EUR 3.550% 979.42EUR 3.100% add minus
GOVERNMENT OF CROATIA, XS2190201983 1 000.00EUR 1.500% 2031-06-17
(days 3053)
863.52EUR 3.550% 889.08EUR 3.160% add minus
GOVERNMENT OF CROATIA, XS2471549654 1 000.00EUR 2.875% 2032-04-22
(days 3363)
967.41EUR 3.590% 996.83EUR 3.210% add minus
GOVERNMENT OF CROATIA, XS2309428113 1 000.00EUR 1.125% 2033-03-04
(days 3679)
803.11EUR 3.620% 833.94EUR 3.200% add minus

Romania

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, US77586TAD81 2 000.00USD 4.875% 2024-01-22
(days 350)
2 001.91USD 4.990% 2 010.12USD 4.550% add minus
GOVERNMENT OF ROMANIA, XS1060842975 1 000.00EUR 3.625% 2024-04-24
(days 443)
1 029.10EUR 3.580% 1 034.99EUR 3.080% add minus
GOVERNMENT OF ROMANIA, XS1312891549 1 000.00EUR 2.750% 2025-10-29
(days 996)
978.83EUR 3.880% 991.59EUR 3.370% add minus
GOVERNMENT OF ROMANIA, XS1934867547 1 000.00EUR 2.000% 2026-12-08
(days 1401)
912.52EUR 4.640% 928.95EUR 4.140% add minus
GOVERNMENT OF ROMANIA, XS1599193403 1 000.00EUR 2.375% 2027-04-19
(days 1533)
926.72EUR 4.860% 943.36EUR 4.390% add minus
GOVERNMENT OF ROMANIA, XS1420357318 1 000.00EUR 2.875% 2028-05-26
(days 1936)
917.49EUR 5.140% 938.14EUR 4.660% add minus
GOVERNMENT OF ROMANIA, XS1892141620 1 000.00EUR 2.875% 2029-03-11
(days 2225)
898.71EUR 5.390% 918.06EUR 4.980% add minus
GOVERNMENT OF ROMANIA, XS1768067297 1 000.00EUR 2.500% 2030-02-08
(days 2559)
846.57EUR 5.660% 867.91EUR 5.240% add minus

Hungary

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, US445545AJ57 2 000.00USD 5.750% 2023-11-22
(days 289)
2 031.13USD 5.270% 2 040.98USD 4.630% add minus
GOVERNMENT OF HUNGARY, US445545AL04 2 000.00USD 5.375% 2024-03-25
(days 413)
2 047.36USD 5.000% 2 059.24USD 4.460% add minus
GOVERNMENT OF HUNGARY, XS1887498282 1 000.00EUR 1.250% 2025-10-22
(days 989)
933.82EUR 4.030% 946.35EUR 3.510% add minus
GOVERNMENT OF HUNGARY, XS2161992198 1 000.00EUR 1.125% 2026-04-28
(days 1177)
925.71EUR 3.920% 938.19EUR 3.480% add minus
GOVERNMENT OF HUNGARY, XS1696445516 1 000.00EUR 1.750% 2027-10-10
(days 1707)
909.78EUR 4.040% 929.60EUR 3.550% add minus
GOVERNMENT OF HUNGARY, XS2386583145 1 000.00EUR 0.125% 2028-09-21
(days 2054)
780.76EUR 4.660% 798.70EUR 4.230% add minus
GOVERNMENT OF HUNGARY, XS2161992511 1 000.00EUR 1.625% 2032-04-28
(days 3369)
781.81EUR 4.780% 811.47EUR 4.320% add minus
GOVERNMENT OF HUNGARY, XS2181689659 1 000.00EUR 1.750% 2035-06-05
(days 4502)
736.98EUR 4.750% 769.16EUR 4.330% add minus
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, XS2259191273 1 000.00EUR 0.500% 2030-11-18
(days 2842)
739.40EUR 4.570% 764.13EUR 4.120% add minus
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