OREANDA-NEWS. Schedule of Government Securities auctions for December 2015 – February 2016:
Auction date Payment date Redemption date Currency Maturity (days) Issue
2015-12-07 2015-12-09 2021-08-28 EUR 2089 LT1000607010 tap
2015-12-14 2015-12-16 2019-03-30 EUR 1200 LT0000630022 tap
2016-01-04 2016-01-06 2019-03-30 EUR 1179 LT0000630022 tap
2016-01-11 2016-01-13 2021-08-28 EUR 2054 LT1000607010 tap
2016-01-18 2016-01-20 2024-11-06 EUR 3213 LT1000610014 tap
2016-01-25 2016-01-27 2020-05-27 EUR 1582 LT0000650012 tap
2016-02-01 2016-02-03 2024-11-06 EUR 3199 LT1000610014 tap
2016-02-08 2016-02-10 2019-03-30 EUR 1144 LT0000630022 tap
2016-02-15 2016-02-18 2021-08-28 EUR 2018 LT1000607010 tap
2016-02-22 2016-02-24 2020-05-27 EUR 1554 LT0000650012 tap
2016-02-29 2016-03-02 2019-03-30 EUR 1123 LT0000630022 tap

   Please note that this is a preliminary schedule. Detailed parameters of every debt security issue will be announced not later than 5 working days before every auction date.