On 27th of June, 2013 coupons under ABLV SUB USD 270622 (ISIN LV0000800985) bonds were paid out according to the following parameters:
ABLV SUB USD 270622 (ISIN LV0000800985):
- Coupon period: 27.12.2012 – 26.06.2013
- Date of coupon payment: 27.06.2013
- Coupon rate: 4,50% per annum