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EUR 6.00 AUGA GROUP BOND NO.1 19-2024
EUR 6.00 AB AUGA GROUP OBLIGACIJOS NR.1 19-2024, LT0000404238

Date

SE trades

Over-the-counter

DVP No. of securities units Total nominal value Turnover(EUR) DVP FOP No. of securities units Total nominal value
2025 May 1 25,000
2025 April 2 8,000
2025 March 2 5,000
2025 February 2 77,000
2025 January 6 406,000
2024 December 9 27,000 16,804 4 9,840,000
2024 November 31 93,000 62,460
2024 October 20 110,000 105,010 1 5,000
2024 September 8 52,000 51,863
2024 August 6 32,000 31,437
2024 July 11 199,000 197,222
2024 June 14 58,000 56,708
2024 May 9 35,000 34,218
2024 April 12 165,000 159,178
2024 March 2 12,000 11,676
2024 February 7 153,000 145,347
2024 January 2 25,000 24,061 1 7,000
2023 December 5 27,000 26,756
2023 November 5 16,000 16,017 1 2,000
2023 October 6 65,000 64,482 1 1,000
2023 September 7 61,000 60,061
2023 August 7 50,000 49,531 1 100,000
2023 July 2 2,000 1,993 1 1 21,000
2023 June 2 66,000 66,811
2023 May 5 66,000 64,696
2023 April 4 13,000 13,018 1 1 340,000
2023 March 3 10,000 9,808 1 4,000
2023 February 5 22,000 21,497 1 100,000
2023 January 3 26,000 24,468 5 1 465,000
2022 December 2 3,000 2,987 2 150,000
2022 November 5 12,000 12,205
2022 September 4 18,000 18,263
2022 August 3 7,000 7,215
2022 July 1 1,000 1,016 2 48,000
2022 June 2 19,000 19,591
2022 May 9 47,000 48,023
1 2

Please note that settlement statistics part of the website only contains information about settled transactions starting from September 18, 2017 for Estonian, Latvian, and Lithuanian markets, and starting from August 24, 2020 - for Estonian, Latvian, Lithuanian and Icelandic markets.

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