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Republic of Lithuania - Issuer's card
INFORMATION
Country:Lithuania
Government institutions:

Ministry of Finance of Lithuania

Central Bank of Lithania

Profile:Lithuania sold USD 1.5bn of sovereign eurobonds in 2011.
 


LITHUANIA BOND MARKET NEWS
04.05.12 Fitch Affirms Lithuania at 'BBB'; Stable Outlook
18.04.12 Lithuania Successfully Prices Re-Opening of Eurobond Issue (Press Release)
22.02.12 Bank Finasta starts providing daily indicative quotes on Cbonds
26.01.12 New bond issue: Lithuania sells USD 1500m in 2022 bonds with 6.625% coupon
28.11.11 Fitch Downgrades Bankas Snoras to 'D', Withdraws All Ratings
 View all news

ANALYTICS
16.05.12: Emerging Markets Briefer
11.05.12: EMEA Weekly - Poland dominates EMEA agenda
30.04.12: Flash Comment Lithuania: moderate slowdown
27.04.12: Emerging Markets Briefer - The return of European fears hits Emerging Markets
26.04.12: EMEA Weekly
All analytics

SOVEREIGN RATING
Moody's Investors Service Baa1/Stable Int. Scale (foreign curr) 31.03.2010
Moody's Investors Service Baa1/Stable Int. Scale (loc. curr.) 31.03.2010
Standard & Poor's BBB/Stable Int. Scale (foreign curr.) 03.02.2010
Fitch Ratings BBB/Stable Int. Scale (foreign curr.) 04.05.2012
Fitch Ratings BBB+/Stable Int.l Scale (local curr.) 04.05.2012
 sovereign rating

 Bonds 

Outstanding bond issues:

sovereign sector
6 issue(s) outstanding worth EUR 3 837 000 000
5 issue(s) outstanding worth USD 7 250 000 000

corporate sector
2 issue(s) outstanding worth EUR 300 000 000



LATEST BOND ISSUES
Issues ISIN Coupon Volume End of placement Maturity date
Lithuania, 2018 XS0327304001  4.850%  1000000000  17.04.2012  07.02.2018 
Lithuania, 2022 XS0739988086  6.625%  1500000000  25.01.2012  01.02.2022 
Lithuania, 2021-2 XS0602546136  6.125%  1500000000  09.11.2011  09.03.2021 
Lithuania, 2017 XS0541528682  5.125%  750000000  07.09.2010  14.09.2017 
Lithuania, 2020 XS0485991417  7.375%  2000000000  04.02.2010  11.02.2020 
Lithuania, 2015-2 XS0457764339  6.750%  1500000000  07.10.2009  15.01.2015 
Lithuania, 2014 XS0435153068  9.375%  500000000  15.06.2009  22.06.2014 
Lithuania, 2021, EUR (FRN) XS0406581222  3m Euribor+160bp before 20.12.2012, a fixed coupon rate equal to the preceding coupon rate + 5.5% minus 1.6% applies thereafter.  175000000  16.03.2009  20.12.2021 
Lithuania, 2015 XS0410083934  9.950%  162000000  29.01.2009  09.12.2015 
Bite, 2017 (LPN) XS0289690157  3mEuribor+675bp   110000000  03.03.2007  15.03.2017 



INDEXES


JP Morgan

Daily Indexes

Type: 24.05.2012 23.05.2012 22.05.2012 21.05.2012 18.05.2012 17.05.2012 16.05.2012
EMBI Global
EMBI Global Lithuania
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