Issue ISIN
DNB AKTYVUS PASAULIS-1 (išpirkta) LT0000403941
DNB AKTYVUS PASAULIS-2 (išpirkta) LT0000403982
DNB AKTYVUS PASAULIS-3 (išpirkta) LT1000403527
DNB AKTYVUS PASAULIS-4 (išpirkta) LT1000403535
DNB AKTYVUS PASAULIS-5 (išpirkta) LT0000430035
DNB AKTYVUS PASAULIS-6 (išpirkta) LT0000430100
DNB AKTYVUS PASAULIS-7 (išpirkta) LT0000430225
DNB AKTYVUS PASAULIS-8 (išpirkta) LT1000403600
DNB ARTIMIEJI RYTAI-1 (išpirkta) LT0000402307
DNB AZIJA-1 (išpirkta) LT0000403792
DNB AZIJA-2 (išpirkta) LT0000403818
DNB AZIJA-3 (išpirkta) LT1000403451
DNB AUGANČIOS RINKOS-1 (išpirkta) LT0000430118
DNB AUGANČIOS RINKOS-2 (išpirkta) LT0000430126
DNB BRIC-1 (išpirkta) LT1000403246
DNB BRIC-2 (išpirkta) LT0000403446
DNB BRIC-3 (išpirkta) LT1000403386
DNB BRIC-4 (išpirkta) LT0000403586
DNB BRIC-5 (išpirkta) LT0000430340
DNB DVIGUBOS PALŪKANOS - 1 (išpirkta) LT0000401382
DNB EURO DIVIDENDAI-1 (išpirkta) LT0000403826
DNB EURO DIVIDENDAI-2 (išpirkta) LT0000403867
DNB EURO DIVIDENDAI-3 (išpirkta) LT1000403493
DNB EURO STOXX 50 (išpirkta) LT1000403139
DNB JUODOJI JŪRA 1 (išpirkta) LT0000430217
DNB K. ir J. NT-1 (išpirkta) LT0000403990
DNB K. ir J. NT-2 (išpirkta) LT0000430019
DNB KINIJA-1 (išpirkta) LT0000403594
DNB KINIJA-2 (išpirkta) LT0000403602
DNB KINIJA-3 (išpirkta) LT0000430324
DNB KINIJA-4 (išpirkta) LT0000430332
DNB KINIJA-5 (išpirkta) LT0000430332
DNB KYLANČIOS ŠALYS-1 (išpirkta) LT0000403875
DNB KYLANČIOS ŠALYS-2 (išpirkta) LT1000403485
DNB KYLANČIOS ŠALYS-3 (išpirkta) LT0000403917
DNB KYLANČIOS ŠALYS-4 (išpirkta) LT1000403519
DNB KYLANČIOS ŠALYS-5 (išpirkta) LT0000430043
DNB KYLANČIOS ŠALYS-6 (išpirkta) LT0000430209
DNB NAFTA-1 (išpirkta) LT1000403428
DNB NAFTA-2 (išpirkta) LT0000403735
DNB NAFTA-3 (išpirkta) LT1000403543
DNB PASAULIS - 1 (išpirkta) LT1000403147
DNB PASAULIS - 2 (išpirkta) LT1000403162
DNB PASAULIS - 3 (išpirkta) LT1000403170
DNB PASAULIS - 4 (išpirkta) LT1000403188
DNB PASAULIS - 5 (išpirkta) LT1000403055
DNB PASAULIS - 6 (išpirkta) LT1000403071
DNB PASAULIS - 7 (išpirkta) LT1000403238
DNB PASAULIS - 8 (išpirkta) LT1000403261
DNB PASAULIS - 10 (išpirkta) LT1000403287
DNB PASAULIS - 12 (išpirkta) LT0000403396
DNB PASAULIS - 13 (išpirkta) LT1000403352
DNB PASAULIS - 14 (išpirkta) LT0000403438
DNB PASAULIS - 15 (išpirkta) LT0000403453
DNB PASAULIS - 16 (išpirkta) LT0000403511
DNB PASAULIS - 20 (išpirkta) LT0000403800
DNB PASAULIS - 21 (išpirkta) LT0000403834
DNB PASAULIS - 22 (išpirkta) LT0000403859
DNB PASAULIS - 24 (išpirkta) LT1000403477
DNB PASAULIS - 25 (išpirkta) LT1000403501
DNB PASAULIS - 26 (išpirkta) LT0000403925
DNB PASAULIS - 27 (išpirkta) LT0000430050
DNB PASAULIS - 28 (išpirkta) LT1000403592
DNB RUSIJA-CEE - 1, 2 (išpirkta) LT1000403154
DNB RUSIJA-CEE - 3 (išpirkta) LT1000403196
DNB RUSIJA-CEE - 4 (išpirkta) LT1000403253
DNB TRUMPALAIKĖS-1 (išpirkta) LT0000401390
DNB TRUMPALAIKĖS-2 (išpirkta) LT0000401416
DNB TRUMPALAIKĖS-3 (išpirkta) LT1000401034
DNB TRUMPALAIKĖS-4 (išpirkta) LT0000402257
DNB TRUMPALAIKĖS-5 (išpirkta) LT0000402265
DNB ŽALIAVOS - 1 (išpirkta) LT1000403295
DNB ŽALIAVOS - 2 (išpirkta) LT0000430027

     

DNB AKTYVUS PASAULIS-1 (išpirkta)
ISIN LT0000403941
Redemption date 2010-07-27
Participation 212%
Index original value
(2007-07-26)
100
Interim observation dates
 
2007-10-20 (94.98); 2008-01-20 (88.19); 2008-04-20 (92.74); 2008-07-20 (88.81); 2008-10-20 (97.79); 2009-01-20 (97.24); 2009-04-20 (96.57); 2009-07-20 (94.62); 2009-10-20 (102.37); 2010-01-20 (103.38); 2010-04-20 (110.23); 2010-07-20 (103.41).
Accumulated return -5.24%  
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB AKTYVUS PASAULIS-2 (išpirkta)
ISIN LT0000403982
Redemption date 2010-08-16
Participation 110%
Index original value
(2007-08-14)
100
Interim observation dates
 
2007-11-09 (94.03); 2008-02-09 (88.18); 2008-05-09 (91.26); 2008-08-09 (93.32); 2008-11-09 (97.7); 2009-02-09 (97.11);
2009-05-09 (92.09); 2009-08-09 (101.98); 2009-11-09 (103.65); 2010-02-09 (103.33); 2010-05-09 (103.15); 2010-08-09 (105.86).
Accumulated return -2.60%   
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB AKTYVUS PASAULIS-3 (išpirkta)
ISIN LT1000403527
Redemption date 2010-08-16
Participation 100%
Index original value
(2007-08-14)
100
Interim observation dates
 
2007-11-09 (94.03); 2008-02-09 (88.18); 2008-05-09 (91.26); 2008-08-09 (93.32); 2008-11-09 (97.7); 2009-02-09 (97.11);
2009-05-09 (92.09); 2009-08-09 (101.98); 2009-11-09 (103.65); 2010-02-09 (103.33); 2010-05-09 (103.15); 2010-08-09 (105.86).
Accumulated return -2.36%  
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB AKTYVUS PASAULIS-4 (išpirkta)
ISIN LT1000403535
Redemption date 2010-08-16
Participation 200%
Index original value
(2007-08-14)
100
Interim observation dates
 
2007-11-09 (94.03); 2008-02-09 (88.18); 2008-05-09 (91.26); 2008-08-09 (93.32); 2008-11-09 (97.7); 2009-02-09 (97.11);
2009-05-09 (92.09); 2009-08-09 (101.98); 2009-11-09 (103.65); 2010-02-09 (103.33); 2010-05-09 (103.15); 2010-08-09 (105.86).
Accumulated return -4.72%
Redemption price 100 EUR

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB AKTYVUS PASAULIS-5 (išpirkta)
ISIN LT0000430035
Redemption date 2010-08-16
Participation 110%
Index original value
(2007-08-14)
100
Interim observation dates
 
2007-11-09 (94.03); 2008-02-09 (88.18); 2008-05-09 (91.26); 2008-08-09 (93.32); 2008-11-09 (97.7); 2009-02-09 (97.11);
2009-05-09 (92.09); 2009-08-09 (101.98); 2009-11-09 (103.65); 2010-02-09 (103.33); 2010-05-09 (103.15); 2010-08-09 (105.86).
Accumulated return -2.60%
Redemption price 100 LTL

     

DNB AKTYVUS PASAULIS-6 (išpirkta)
ISIN LT0000430100
Redemption date 2010-08-25
Participation 100%
Index original value
(2007-08-24)
100
Interim observation dates
 
2007-11-18 (93.38); 2008-02-18 (89.81); 2008-05-18 (93.61); 2008-08-18 (96.30); 2008-11-18 (99.48); 2009-02-18 (99.85); 2009-05-18 (93.76); 2009-08-18 (103.81); 2009-11-18 (105.91); 2010-02-18 (109.24); 2010-05-18 (106.63); 2010-08-18 (105.26).
Accumulated return -0.33%
Redemption price 100 LTL

     

DNB AKTYVUS PASAULIS-7 (išpirkta)
ISIN LT0000430225
Redemption date 2010-10-20
Participation 110%
Index original value
(2007-10-19)
100
Interim observation dates
 
2008-01-04 (85.29); 2008-04-04 (95.28); 2008-07-04 (92.51); 2008-10-04 (101.56); 2009-01-04 (101.06); 2009-04-04 (100.36); 2009-07-04 (95.67); 2009-10-04 (106.21); 2010-01-04 (107.29); 2010-04-04 (114.43); 2010-07-04 (112.53); 2010-10-04 (109.75).
Accumulated return 2.37%
Redemption price 102.37 LTL

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB AKTYVUS PASAULIS-8 (išpirkta)
ISIN LT1000403600
Redemption date 2010-10-20
Participation 90%
Index original value
(2007-10-19)
100
Interim observation dates
 
2008-01-04 (85.29); 2008-04-04 (95.28); 2008-07-04 (92.51); 2008-10-04 (101.56); 2009-01-04 (101.06); 2009-04-04 (100.36); 2009-07-04 (95.67); 2009-10-04 (106.21); 2010-01-04 (107.29); 2010-04-04 (114.43); 2010-07-04 (112.53); 2010-10-04 (109.75).
Accumulated return 1.94%
Redemption price 101.94 EUR

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB ARTIMIEJI RYTAI-1 (išpirkta)
ISIN LT0000402307
Redemption date 2010-03-11
Participation 80%
Index original value
(2008-03-10)
132.12
Interim observation dates
 
2008-06-05 (143.25); 2008-09-05 (117.86); 2008-12-05 (61.61); 2009-03-05 (47.91); 2009-06-05 (73.33); 2009-09-05 (75.14); 2009-12-05 (71.45); 2010-03-05 (74.53).
Accumulated return -29.66%
Redemption price 100 LTL

  1 250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB AZIJA-1 (išpirkta)
ISIN LT0000403792
Redemption date 2010-05-10
Participation 120%
Index original value
(2007-05-09)
1000
Interim observation dates
 
2007-08-04 (1047.69); 2007-11-04 (1078.32);
2008-02-04 (918.44); 2008-05-04 (982.17);
2008-08-04 (846.75); 2008-11-04 (627.02);
2009-02-04 (607.36); 2009-05-04 (703.17);
2009-08-04 (790.65); 2009-11-04 (783.22);
2010-02-04 (808.72); 2010-05-04 (850.13).
Accumulated return -19.56%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB AZIJA-2 (išpirkta)
ISIN LT0000403818
Redemption date 2010-06-19
Participation 100%
Index original value
(2007-06-18)
1000
Interim observation dates
 
2007-09-11 (1058.49); 2007-12-11 (1188.83);
2008-03-11 (992.04); 2008-06-11 (1018.74);
2008-09-11 (824.23); 2008-12-11 (653.87);
2009-03-11 (565.51); 2009-06-11 (805.33);
2009-09-11 (918.53); 2009-12-11 (947.60);
2010-03-11 (927.86); 2010-06-11 (885.43).
Accumulated return -10.11%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB AZIJA-3 (išpirkta)
ISIN LT1000403451
Redemption date 2010-06-19
Participation 100%
Index original value
(2007-06-18)
1000
Interim observation dates
 
2007-09-11 (1058.49); 2007-12-11 (1188.83);
2008-03-11 (992.04); 2008-06-11 (1018.74); 
2008-09-11 (824.23); 2008-12-11 (653.87);
2009-03-11 (565.51); 2009-06-11 (805.33); 
2009-09-11 (918.53); 2009-12-11 (947.60);
2010-03-11 (927.86); 2010-06-11 (885.43).
Accumulated return -10.11%
Redemption price 100 EUR

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB AUGANČIOS RINKOS-1 (išpirkta)
ISIN LT0000430118
Redemption date 2010-11-02
Participation 60%
Index original value
(2007-10-31)
109.33
Interim observation dates
 
2008-01-26 (93.80); 2008-04-26 (83.36); 2008-07-26 (70.39); 2008-10-26 (51.67); 2009-01-26 (45.60); 2009-04-26 (55.31); 2009-07-26 (68.67); 2009-10-26 (76.79); 2010-01-26 (78.43); 2010-04-26 (91.95); 2010-07-26 (90.65); 2010-10-26 (93.43).
Accumulated return -18.84%
Redemption price 100 LTL

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB AUGANČIOS RINKOS-2 (išpirkta)
ISIN LT0000430126
Redemption date 2010-11-02
Participation 110%
Index original value
(2007-10-31)
109.33
Interim observation dates
 
2008-01-26 (93.80); 2008-04-26 (83.36); 2008-07-26 (70.39); 2008-10-26 (51.67); 2009-01-26 (45.60); 2009-04-26 (55.31); 2009-07-26 (68.67); 2009-10-26 (76.79); 2010-01-26 (78.43); 2010-04-26 (91.95); 2010-07-26 (90.65); 2010-10-26 (93.43).
Accumulated return -34.54%
Redemption price 100 LTL

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB BRIC-1 (išpirkta)
ISIN LT1000403246
Redemption date 2009-06-16
Participation 60%
Index original value
(2006-06-16)
1000
Interim observation dates
 
2006-09-08 (1131.37); 2006-12-08 (1282.38);
2007-03-08 (1240.17); 2007-06-08 (1350.86);
2007-09-08 (1459.96); 2007-12-08 (1828.57);
2008-03-08 (1561.63); 2008-06-08 (1671.63);
2008-09-08 (1348.63); 2008-12-08 (881.81);
2009-03-08 (793.23); 2009-06-08 (1262.03).
Accumulated return 19.06%
Redemption price 119.06 EUR

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB BRIC-2 (išpirkta)
ISIN LT0000403446
Redemption date 2009-12-07
Participation 60%
Index original value
(2006-12-07)
1000
Interim observation dates
 
2007-02-27 (995.32); 2007-05-27 (1047.64);
2007-08-27 (1112.19); 2007-11-27 (1300.07); 
2008-02-27 (1268.55); 2008-05-27 (1301.80);
2008-08-27 (1064.22); 2008-11-27 (652.37); 
2009-02-27 (644.08); 2009-05-27 (933.90);
2009-08-27 (1020.70); 2009-11-27 (1122.10).
Accumulated return 2.31%
Redemption price 102.31 LTL

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB BRIC-3 (išpirkta)
ISIN LT1000403386
Redemption date 2009-12-09
Participation 71%
Index original value
(2006-12-08)
1000
Interim observation dates
 
2007-03-02 (963.20); 2007-06-02 (1076.48);
2007-09-02 (1148.42); 2007-12-02 (1367.46);
2008-03-02 (1228.67); 2008-06-02 (1325.04);
2008-09-02 (1078.59); 2008-12-02 (634.68);
2009-03-02 (622.04); 2009-06-02 (987.40);
2009-09-02 (994.42); 2009-12-02 (1166.79).
Accumulated return 3.51%
Redemption price 103.51 LVL

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB BRIC-4 (išpirkta)
ISIN LT0000403586
Redemption date 2010-02-08
Participation 70%
Index original value
(2007-02-07)
2068.27
Interim observation dates
 
2007-05-02 (1981.82); 2007-08-02 (2260.25);
2007-11-02 (2967.54); 2008-02-02 (2432.54);
2008-05-02 (2581.46); 2008-08-02 (2121.72);
2008-11-02 (1458.94); 2009-02-02 (1256.97);
2009-05-02 (1695.78); 2009-08-02 (1917.07);
2009-11-02 (2030.53); 2010-02-02 (2126.78).
Accumulated return 0.03%
Redemption price 100.03 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB BRIC-5 (išpirkta)
ISIN LT0000430340
Redemption date 2010-11-15
Participation 60%
Index original value
(2007-11-12)
30.35
Interim observation dates
 
2009-12-08 (24.60); 2010-01-08 (26.09); 2010-02-08 (22.25); 2010-03-08 (24.52); 2010-04-08 (25.45); 2010-05-08 (23.24); 2010-06-08 (21.87); 2010-07-08 (22.98); 2010-08-08 (24.92); 2010-09-08 (24.50); 2010-10-08 (26.75); 2010-11-08 (28.02).
Accumulated return -11.37%
Redemption price 100 LTL

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB DVIGUBOS PALŪKANOS - 1 (išpirkta)
ISIN LT0000401382
Redemption date 2008-09-21
Participation 100%
Interim observation dates Every ECB Business Day from 2007-03-21 to 2008-09-15.
Interest payment terms   The amount of LTL 10.5 was not paid because the exchange rate of USD/EUR exceeded 1.38 – the limit set in the final terms and conditions.
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB EURO DIVIDENDAI-1 (išpirkta)
ISIN LT0000403826
Redemption date 2010-06-07
Participation 130%
Index original value
(2007-06-04)
3674.14
Interim observation dates
 
2007-09-01 (3350.51); 2007-12-01 (3230.61);
2008-03-01 (2783.85); 2008-06-01 (2696.36); 
2008-09-01 (2218.90); 2008-12-01 (1292.41);
2009-03-01 (1048.92); 2009-06-01 (1398.59); 
2009-09-01 (1593.61); 2009-12-01 (1684.33);
2010-03-01 (1680.15); 2010-06-01 (1582.61).
Accumulated return -57.58%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB EURO DIVIDENDAI-2 (išpirkta)
ISIN LT0000403867
Redemption date 2010-06-22
Participation 130%
Index original value
(2007-06-21)
3379.99
Interim observation dates
 
2007-09-14 (3136.31); 2007-12-14 (3007.32);
2008-03-14 (2437.30); 2008-06-14 (2010.07); 
2008-09-14 (1691.73); 2008-12-14 (1161.58);
2009-03-14 (999.54); 2009-06-14 (1183.40); 
2009-09-14 (1374.23); 2009-12-14 (1419.54);
2010-03-14 (1448.41); 2010-06-14 (1444.23).
Accumulated return -61.69%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB EURO DIVIDENDAI-3 (išpirkta)
ISIN LT1000403493
Redemption date 2010-07-07
Participation 130%
Index original value
(2007-07-06)
3368
Interim observation dates
 
2007-09-29 (3177.55); 2007-12-29 (2972.51);
2008-03-29 (2454.87); 2008-06-29 (1758.45); 
2008-09-29 (1581.59); 2008-12-29 (1129.60);
2009-03-29 (963.02); 2009-06-29 (1169.85); 
2009-09-29 (1393.20); 2009-12-29 (1467.39);
2010-03-29 (1473.13); 2010-06-29 (1417.00).
Accumulated return -62.59%
Redemption price 100 EUR

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB DOW JONES EURO STOXX 50-1 (išpirkta)
ISIN LT1000403139
Redemption date 2008-12-21
Participation 100%
Index original value
(2005-12-21)
3591.94
Interim observation dates
 
2006-03-15 (3842.16); 2006-06-15 (3493.25);
2006-09-15 (3812.11); 2006-12-15 (4140.66);
2007-03-15 (3985.57); 2007-06-15 (4551.00);
2007-09-17 (4184.61); 2007-12-17 (4312.47);
2008-03-17 (3431.82); 2008-06-16 (3532.83);
2008-09-15 (3151.17); 2008-12-15 (2407.47).
Accumulated return 4.04%
Redemption price 104.04 EUR

  80 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB JUODOJI JŪRA 1 (išpirkta)
ISIN LT0000430217
Redemption date 2010-10-20
Participation 75%
Index original value
(2007-10-19)
117.17
Interim observation dates
 
2008-01-14 (112.16); 2008-04-14 (91.67); 2008-07-14 (89.97); 2008-10-14 (50.80); 2009-01-14 (22.29); 2009-04-14 (19.09); 2009-07-14 (19.89); 2009-10-14 (29.34); 2010-01-14 (31.89); 2010-04-14 (37.56); 2010-07-14 (33.58); 2010-10-14 (36.70).
Accumulated return -44.33%
Redemption price 100 LTL

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB K. ir J. NT-1 (išpirkta)
ISIN LT0000403990
Redemption date 2010-09-25
Participation 100%
Index original value
(2007-09-24)
103.74
Interim observation dates
 
2007-12-20 (86.44); 2008-03-20 (54.86); 2008-06-20 (62.23); 2008-09-20 (46.51); 2008-12-20 (36.08); 2009-03-20 (31.71); 2009-06-20 (50.75); 2009-09-20 (48.33); 2009-12-20 (44.99); 2010-03-20 (37.53); 2010-06-20 (42.94); 2010-09-20 (42.28).
Accumulated return -53.04%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB K. ir J. NT-2 (išpirkta)
ISIN LT0000430019
Redemption date 2010-09-25
Participation 200%
Index original value
(2007-09-24)
103.74
Interim observation dates
 
2007-12-20 (86.44); 2008-03-20 (54.86); 2008-06-20 (62.23); 2008-09-20 (46.51); 2008-12-20 (36.08); 2009-03-20 (31.71); 2009-06-20 (50.75); 2009-09-20 (48.33); 2009-12-20 (44.99); 2010-03-20 (37.53); 2010-06-20 (42.94); 2010-09-20 (42.28).
Accumulated return -106.07%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB Kinija-1 (išpirkta)
ISIN LT0000403594
Redemption date 2010-03-22
Participation 100%
Index original value
(2007-03-21)
19516.41
Interim observation dates
 
2007-06-15 (21017.05); 2007-09-15 (24599.34);
2007-12-15 (26596.58); 2008-03-15 (21084.61);
2008-06-15 (23029.69); 2008-09-15 (18300.61);
2008-12-15 (15046.95); 2009-03-15 (12976.71);
2009-06-15 (18498.96); 2009-09-15 (20866.37);
2009-12-15 (21813.92); 2010-03-15 (21079.10).
Accumulated return 4.57%
Redemption price 104.57 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB Kinija-2 (išpirkta)
ISIN LT0000403602
Redemption date 2010-03-01
Participation 90%
Index original value
(2007-02-28)
15110.18
Interim observation dates
 
2007-05-22 (17056.8); 2007-08-22 (19955.2);
2007-11-22 (24137.6); 2008-02-22 (21495.8);
2008-05-22 (22695.8); 2008-08-22 (18473.1);
2008-11-22 (10203.7); 2009-02-22 (11560.5);
2009-05-22 (15222.8); 2009-08-22 (17902.3);
2009-11-22 (19947.7); 2010-02-22 (17358.5).
Accumulated return 16.88%
Redemption price 116.88 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB Kinija-3 (išpirkta)
ISIN LT0000430324
Redemption date 2010-11-15
Participation 108%
Index original value
(2007-11-12)
27665.73
Interim observation dates
 
2008-02-08 (22616.11); 2008-05-08 (25449.79);
2008-08-08 (21885.21); 2008-11-08 (14744.63); 
2009-02-08 (13769.06); 2009-05-08 (17389.87);
2009-08-08 (20929.52); 2009-11-08 (22207.55); 
2010-02-08 (19550.89); 2010-05-08 (20426.64);
2010-08-08 (21801.59); 2010-11-08 (24964.37).
Accumulated return -28.06%
Redemption price 100 LTL

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB Kinija-4 (išpirkta)
ISIN LT0000430332
Redemption date 2010-11-15
Participation 97%
Index original value
(2007-11-12)
25670.08
Interim observation dates
 
2008-02-08 (20389.85); 2008-05-08 (22757.59);
2008-08-08 (19033.91); 2008-11-08 (11942.30); 
2009-02-08 (12253.84); 2009-05-08 (15533.36);
2009-08-08 (18560.20); 2009-11-08 (19615.03); 
2010-02-08 (16601.66); 2010-05-08 (17725.47);
2010-08-08 (18609.16); 2010-11-08 (21100.93).
Accumulated return -29.57%
Redemption price 100 LTL

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus  

DNB Kinija-5 (išpirkta)
ISIN LT00004303357
Obligacijų išpirkimo data 2010-12-22
Investavimo koeficientas 100%
Indekso pradinė reikšmė
(2007-12-21)
27626.92
Indekso nustatymo datos
(atitinkamos dienos indekso reikšmė)
2008-03-16 (21084.61); 2008-06-16 (23029.69);
2008-09-16 (18300.61); 2008-12-16 (15130.21); 
2009-03-16 (12976.71); 2009-06-16 (18165.50);
2009-09-16 (21402.92); 2009-12-16 (21611.74); 
2010-03-16 (21022.93); 2010-06-16 (20138.40);
2010-09-16 (21691.45); 2010-12-16 (22688.78).
Indeksų pokytis nuo obligacijų išleidimo -28.44%
Obligacijos išpirkimo kaina 100 LTL

700 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas Galutinės sąlygos 500 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas Registracijos dokumentas      

DNB KYLANČIOS ŠALYS-1 (išpirkta)
ISIN LT0000403875
Redemption date 2010-06-22
Participation 110%
Index original value
(2007-06-21)
1000
Interim observation dates
 
2007-09-14 (1006.49); 2007-12-14 (1053.20);
2008-03-14 (981.60); 2008-06-14 (1057.36); 
2008-09-14 (788.70); 2008-12-14 (550.26);
2009-03-14 (532.72); 2009-06-14 (718.12); 
2009-09-14 (856.79); 2009-12-14 (951.41);
2010-03-14 (951.86); 2010-06-14 (906.74).
Accumulated return -15.08%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB KYLANČIOS ŠALYS-2 (išpirkta)
ISIN LT1000403485
Redemption date 2010-07-07
Participation 100%
Index original value
(2007-07-06)
1000
Interim observation dates
 
2007-09-29 (1091.97); 2007-12-29 (1086.69);
2008-03-29 (1044.44); 2008-06-29 (1116.47); 
2008-09-29 (749.56); 2008-12-29 (529.26);
2009-03-29 (592.80); 2009-06-29 (800.01); 
2009-09-29 (997.47); 2009-12-29 (1094.22);
2010-03-29 (1082.14); 2010-06-29 (994.15).
Accumulated return -6.84%
Redemption price 100 EUR

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB KYLANČIOS ŠALYS-3 (išpirkta)
ISIN LT0000403917
Redemption date 2010-07-19
Participation 100%
Index original value
(2007-07-16)
1000
Interim observation dates
 
2007-10-12 (1074.60); 2008-01-12 (1019.84);
2008-04-12 (1057.20); 2008-07-12 (1006.67); 
2008-10-12 (608.69); 2009-01-12 (544.34);
2009-04-12 (663.14); 2009-07-12 (743.37); 
2009-10-12 (1010.48); 2010-01-12 (1081.62);
2010-04-12 (1074.72); 2010-07-12 (991.30).
Accumulated return -9.37%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB KYLANČIOS ŠALYS-4 (išpirkta)
ISIN LT1000403519
Redemption date 2010-08-16
Participation 80%
Index original value
(2007-08-14)
1000
Interim observation dates
 
2007-11-09 (1246.35); 2008-02-09 (1112.36);
2008-05-09 (1299.14); 2008-08-09 (1085.71); 
2008-11-09 (629.52); 2009-02-09 (660.43);
2009-05-09 (858.03); 2009-08-09 (1005.58); 
2009-11-09 (1181.31); 2010-02-09 (1096.66);
 2010-05-09 (1151.00); 2010-08-09 (1213.45).
Accumulated return 3.60%
Redemption price 103.60 EUR

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB KYLANČIOS ŠALYS-5 (išpirkta)
ISIN LT0000430043
Redemption date 2010-08-16
Participation 90%
Index original value
(2007-08-14)
1000
Interim observation dates
 
2007-11-09 (1246.35); 2008-02-09 (1112.36);
2008-05-09 (1299.14); 2008-08-09 (1085.71); 
2008-11-09 (629.52); 2009-02-09 (660.43);
2009-05-09 (858.03); 2009-08-09 (1005.58); 
2009-11-09 (1181.31); 2010-02-09 (1096.66);
2010-05-09 (1151.00); 2010-08-09 (1213.45).
Accumulated return 4.05%
Redemption price 104.05 LTL

     

DNB KYLANČIOS ŠALYS-6 (išpirkta)
ISIN LT0000430209
Redemption date 2010-10-20
Participation 85%
Index original value
(2007-10-19)
1000
Interim observation dates
 
2008-01-14 (962.72); 2008-04-14 (998.12);
2008-07-14 (946.43); 2008-10-14 (611.41);
2009-01-14 (509.32); 2009-04-14 (623.86);
2009-07-14 (708.95); 2009-10-14 (975.27);
2010-01-14 (1006.29); 2010-04-14 (1023.15);
2010-07-14 (951.74); 2010-10-14 (1078.72).
Accumulated return -11.36%
Redemption price 100 LTL

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB NAFTA-1 (išpirkta)
ISIN LT1000403428
Redemption date 2010-02-03
Participation 80%
Index original value
(2007-02-02)
59.02
Interim observation dates
 
2007-04-26 (65.06); 2007-07-26 (74.95); 2007-10-26 (91.86); 2008-01-26 (90.99); 2008-04-26 (118.75); 2008-07-26 (124.73); 2008-10-26 (63.22); 2009-01-26 (45.73); 2009-04-26 (50.14); 2009-07-26 (68.38); 2009-10-26 (78.68); 2010-01-26 (74.71).
Accumulated return 26.99%
Redemption price 126.99 USD

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB NAFTA-2 (išpirkta)
ISIN LT0000403735
Redemption date 2010-05-10
Participation 100%
Index original value
(2007-05-04)
766.20
Interim observation dates
 
2007-06-04 (796.98); 2007-07-04 (855.16);
2007-08-04 (854.03); 2007-09-04 (892.21);
2007-10-04 (983.09); 2007-11-04 (1144.21);
2007-12-04 (1086.00); 2008-01-04 (1204.53);
2008-02-04 (1112.30); 2008-03-04 (1228.80);
2008-04-04 (1325.75); 2008-05-04 (1504.99);
2008-06-04 (1535.97); 2008-07-04 (1769.32);
 2008-08-04 (1512.57); 2008-09-04 (1343.45);
2008-10-04 (1092.28); 2008-11-04 (879.23);
2008-12-04 (536.67); 2009-01-04 (566.86);
2009-02-04 (406.31); 2009-03-04 (388.89);
2009-04-04 (424.19); 2009-05-04 (428.72);
2009-06-04 (532.15); 2009-07-04 (489.62);
2009-08-04 (537.30); 2009-09-04 (498.16);
2009-10-04 (512.36); 2009-11-04 (581.41);
2009-12-04 (541.29); 2010-01-04 (569.14);
2010-02-04 (507.82); 2010-03-04 (553.90);
2010-04-04 (595.41); 2010-05-04 (563.12).
Accumulated return -54.25%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB NAFTA-3 (išpirkta)
ISIN LT1000403543
Redemption date 2010-09-26
Participation 160%
Index original value
(2007-09-25)
79.53
Interim observation dates
 
2009-10-20 (79.09); 2009-11-20 (76.72); 2009-12-20 (72.47); 2010-01-20 (77.62); 2010-02-20 (80.16); 2010-03-20 (81.25); 2010-04-20 (83.45); 2010-05-20 (68.01); 2010-06-20 (77.82); 2010-07-20 (77.44); 2010-08-20 (73.46); 2010-09-20 (74.86).
Accumulated return -5.37%
Redemption price 100 EUR

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB PASAULIS-1 (išpirkta)
ISIN LT1000403147
Redemption date 2009-03-06
Participation 100%
Index original value
(2006-03-06)
3000
Interim observation dates
 
2006-05-29 (2960.86); 2006-08-28 (3018.28);
2006-11-27 (3112.23); 2007-02-27 (3304.78);
2007-05-28 (3416.49); 2007-08-27 (3240.81);
2007-11-27 (3106.28); 2008-02-27 (2909.37);
2008-05-27 (2860.40); 2008-08-27 (2627.99);
2008-11-27 (1838.69); 2009-02-27 (1559.12).
Accumulated return -5.68%
Redemption price 100 EUR

  80 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-2 (išpirkta)
ISIN LT1000403162
Redemption date 2009-01-24
Participation 70%
Index original value
(2006-01-24)
1000
Interim observation dates
 
2006-04-17 (1061.40); 2006-07-17 (982.43);
2006-10-16 (1114.54); 2007-01-16 (1175.90);
2007-04-16 (1220.29); 2007-07-16 (1289.09);
2007-10-16 (1335.36); 2008-01-16 (1169.44);
2008-04-16 (1115.41); 2008-07-16 (992.48);
2008-10-16 (728.09); 2009-01-16 (668.42).
Accumulated return 4.97%
Redemption price 104.97 EUR

  80 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-3 (išpirkta)
ISIN LT1000403170
Redemption date 2009-02-13
Participation 100%
Index original value
(2006-02-10)
1000
Interim observation dates
 
2006-05-08 (1065.83); 2006-08-07 (1003.57);
2006-11-06 (1102.47); 2007-02-06 (1168.72);
2007-05-07 (1207.29); 2007-08-06 (1179.06);
2007-11-06 (1298.58); 2008-02-06 (1081.79);
2008-05-06 (1154.03); 2008-08-06 (1022.13);
2008-11-06 (706.24); 2009-02-06 (667.18).
Accumulated return 5.47%
Redemption price 105.47 EUR

  80 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-4 (išpirkta)
ISIN LT1000403188
Redemption date 2009-04-27
Participation 100%
Index original value
(2006-04-27)
1000
Interim observation dates
 
2006-07-20 (934.90); 2006-10-20 (1033.53);
2007-01-20 (1104.10); 2007-04-20 (1131.03);
2007-07-20 (1193.36); 2007-10-20 (1233.07);
2008-01-20 (1039.96); 2008-04-20 (1078.01);
2008-07-20 (985.19); 2008-10-20 (717.48);
2009-01-20 (607.37); 2009-04-20 (669.93).
Accumulated return -2.27%
Redemption price 103 EUR

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-5 (išpirkta)
ISIN LT1000403055
Redemption date 2009-05-05
Participation 110%
Index original value
(2006-05-05)
1000
Interim observation dates
 
2006-08-01 (942.18); 2006-11-01 (1020.36);
2007-02-01 (1092.91); 2007-05-01 (1108.06);
2007-08-01 (1118.20); 2007-11-01 (1268.32);
2008-02-01 (1056.40); 2008-05-01 (1094.17);
2008-08-01 (971.34); 2008-11-01 (689.68);
2009-02-01 (597.21); 2009-05-01 (685.24).
Accumulated return -3.26%
Redemption price 103 EUR

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-6 (išpirkta)
ISIN LT1000403071
Redemption date 2009-05-16
Participation 140%
Index original value
(2006-05-16)
1000
Interim observation dates
 
2006-08-08 (991.10); 2006-11-08 (1078.90);
2007-02-08 (1147.20); 2007-05-08 (1176.32);
2007-08-08 (1189.39); 2007-11-08 (1260.40);
2008-02-08 (1051.93); 2008-05-08 (1132.69);
2008-08-08 (1016.74); 2008-11-08 (719.20);
2009-02-08 (659.01); 2009-05-08 (755.96).
Accumulated return 2.09%
Redemption price 102.09 EUR

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-7 (išpirkta)
ISIN LT1000403238
Redemption date 2009-06-16
Participation 100%
Index original value
(2006-06-16)
1000
Interim observation dates
 
2006-09-08 (1070.89); 2006-12-08 (1143.35);
2007-03-08 (1164.45); 2007-06-08 (1239.41);
2007-09-08 (1232.15); 2007-12-08 (1342.45);
2008-03-08 (1079.17); 2008-06-08 (1138.82);
2008-09-08 (1030.55); 2008-12-08 (735.86);
2009-03-08 (563.86); 2009-06-08 (819.57).
Accumulated return 4.67%
Redemption price 104.67 EUR

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB PASAULIS-8 (išpirkta)
ISIN LT1000403261
Redemption date 2009-05-19
Participation 140%
Index original value
(2006-05-19)
1000
Interim observation dates
 
2006-08-12 (1017.06); 2006-11-12 (1092.05);
2007-02-12 (1161.69); 2007-05-12 (1196.03);
2007-08-12 (1175.61); 2007-11-12 (1239.84);
2008-02-12 (1081.24); 2008-05-12 (1144.14);
2008-08-12 (1028.97); 2008-11-12 (681.90);
2009-02-12 (639.50); 2009-05-12 (753.18).
Accumulated return 2.46%
Redemption price 102.46 EUR

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB PASAULIS-10 (išpirkta)
ISIN LT1000403287
Redemption date 2009-10-02
Participation 100%
Index original value
(2006-10-02)
1000
Interim observation dates
 
2006-12-25 (1074.63); 2007-03-25 (1086.13);
2007-06-25 (1156.47); 2007-09-25 (1190.49);
2007-12-25 (1198.69); 2008-03-25 (1002.39);
2008-06-25 (1004.61); 2008-09-25 (886.57);
2008-12-25 (653.01); 2009-03-25 (614.72);
2009-06-25 (737.26); 2009-09-25 (834.43).
Accumulated return -4.67%
Redemption price 103 EUR

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-12 (išpirkta)
ISIN LT0000403396
Redemption date 2009-11-02
Participation 100%
Index original value
(2006-10-30)
1000
Interim observation dates
 
2007-01-23 (1067.05); 2007-04-23 (1090.68);
2007-07-23 (1152.94); 2007-10-23 (1201.32);
2008-01-23 (991.02); 2008-04-23 (1037.93);
2008-07-23 (963.25); 2008-10-23 (634.92);
2009-01-23 (575.05); 2009-04-23 (638.44);
2009-07-23 (758.64); 2009-10-23 (841.44).
Accumulated return -8.73%
Redemption price 105 LTL

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-13 (išpirkta)
ISIN LT1000403352
Redemption date 2009-10-16
Participation 150%
Index original value
(2006-10-16)
1000
Interim observation dates
 
2007-01-09 (1050.20); 2007-04-09 (1080.70);
2007-07-09 (1152.87); 2007-10-09 (1212.48);
2008-01-09 (1125.31); 2008-04-09 (1012.52);
2008-07-09 (934.26); 2008-10-09 (688.85);
2009-01-09 (649.84); 2009-04-09 (637.22);
2009-07-09 (691.83); 2009-10-09 (824.16).
Accumulated return -11.75%
Redemption price 100 LVL

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-14 (išpirkta)
ISIN LT0000403438
Redemption date 2009-12-01
Participation 100%
Index original value
(2006-12-01)
1000
Interim observation dates
 
2007-02-24 (1084.37); 2007-05-24 (1098.47);
2007-08-24 (1089.76); 2007-11-24 (1122.68); 
2008-02-24 (1011.45); 2008-05-24 (1017.20);
2008-08-24 (914.87); 2008-11-24 (597.93); 
2009-02-24 (546.63); 2009-05-24 (690.27);
2009-08-24 (796.96); 2009-11-24 (824.78).
Accumulated return -10.04%
Redemption price 105 LTL

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-15 (išpirkta)
ISIN LT0000403453
Redemption date 2010-01-11
Participation 100%
Index original value
(2007-01-10)
1000
Interim observation dates
 
2007-04-03 (1023.55); 2007-07-03 (1096.05);
2007-10-03 (1147.13); 2008-01-03 (1080.82); 
2008-04-03 (980.22); 2008-07-03 (893.84);
2008-10-03 (771.83); 2009-01-03 (652.19); 
2009-04-03 (598.18); 2009-07-03 (681.44);
2009-10-03 (758.15); 2010-01-03 (820.65).
Accumulated return -12.47%
Redemption price 105 LTL

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-16 (išpirkta)
ISIN LT0000403511
Redemption date 2010-02-23
Participation 100%
Index original value
(2007-02-21)
1000
Interim observation dates
 
2007-05-15 (1016.82); 2007-08-15 (977.05);
2007-11-15 (1065.89); 2008-02-15 (933.68); 
2008-05-15 (979.61); 2008-08-15 (859.43);
2008-11-15 (568.32); 2009-02-15 (535.98); 
2009-05-15 (623.63); 2009-08-15 (708.92);
2009-11-15 (777.50); 2010-02-15 (734.63).
Accumulated return -18.49%
Redemption price 105 LTL

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB PASAULIS-20 (išpirkta)
ISIN LT0000403800
Redemption date 2010-05-10
Participation 140%
Index original value
(2007-05-09)
1000
Interim observation dates
 
2007-08-04 (982.27); 2007-11-04 (1071.98); 2008-02-04 (940.84); 2008-05-04 (962.78); 2008-08-04 (844.60); 2008-11-04 (627.30); 2009-02-04 (541.20); 2009-05-04 (615.80); 2009-08-04 (715.26); 2009-11-04 (730.71); 2010-02-04 (726.59); 2010-05-04 (759.70).
Accumulated return -28.94%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB PASAULIS-21 (išpirkta)
ISIN LT0000403834
Redemption date 2010-08-02
Participation 100%
Index original value
(2007-07-30)
1000
Interim observation dates
 
2007-10-26 (1095.21); 2008-01-26 (905.41); 2008-04-26 (944.90); 2008-07-26 (847.29); 2008-10-26 (503.90); 2009-01-26 (528.92); 2009-04-26 (571.45); 2009-07-26 (688.53); 2009-10-26 (741.72); 2010-01-26 (722.39); 2010-04-26 (778.16); 2010-07-26 (717.43).
Accumulated return -24.62%
Redemption price 106 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB PASAULIS-22 (išpirkta)
ISIN LT0000403859
Redemption date 2010-06-22
Participation 100%
Index original value
(2007-06-21)
1000
Interim observation dates
 
2007-09-14 (983.44); 2007-12-14 (1011.81); 2008-03-14 (831.20); 2008-06-14 (879.13); 2008-09-14 (738.91); 2008-12-14 (566.84); 2009-03-14 (490.45); 2009-06-14 (635.38); 2009-09-14 (708.10); 2009-12-14 (733.66); 2010-03-14 (736.23); 2010-06-14 (692.16).
Accumulated return -34.91%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB PASAULIS-24 (išpirkta)
ISIN LT1000403477
Redemption date 2010-07-05
Participation 140%
Index original value
(2007-07-02)
1000
Interim observation dates
 
2007-09-25 (1015.99); 2007-12-25 (1021.25);
2008-03-25 (854.89); 2008-06-25 (857.03); 
2008-09-25 (757.42); 2008-12-25 (557.36);
2009-03-25 (524.67); 2009-06-25 (626.98); 
2009-09-25 (708.93); 2009-12-25 (739.36);
2010-03-25 (740.37); 2010-06-25 (691.88).
Accumulated return -33.88%
Redemption price 100 EUR

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB PASAULIS-25 (išpirkta)
ISIN LT1000403501
Redemption date 2010-07-07
Participation 140%
Index original value
(2007-07-06)
1000
Interim observation dates
 
2007-09-29 (1041.41); 2007-12-29 (994.02); 2008-03-29 (842.67); 2008-06-29 (825.37); 2008-09-29 (707.18); 2008-12-29 (553.51); 2009-03-29 (502.55); 2009-06-29 (626.57); 2009-09-29 (705.42); 2009-12-29 (734.44); 2010-03-29 (741.56); 2010-06-29 (667.90).
Accumulated return -35.67%
Redemption price 100 EUR

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB PASAULIS-26 (išpirkta)
ISIN LT0000403925
Redemption date 2010-07-19
Participation 170%
Index original value
(2007-07-16)
1000
Interim observation dates
 
2007-10-12 (1049.44); 2008-01-12 (940.92); 2008-04-12 (852.30); 2008-07-12 (792.91); 2008-10-12 (616.66); 2009-01-12 (542.53); 2009-04-12 (555.70); 2009-07-12 (586.15); 2009-10-12 (703.76); 2010-01-12 (739.08); 2010-04-12 (753.25); 2010-07-12 (675.34).
Accumulated return -45.22%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB PASAULIS-27 (išpirkta)
ISIN LT0000430050
Redemption date 2010-08-16
Participation 140%
Index original value
(2007-08-14)
1000
Interim observation dates
 
2007-11-09 (1069.11); 2008-02-09 (904.03); 2008-05-09 (957.20); 2008-08-09 (881.72); 2008-11-09 (619.83); 2009-02-09 (567.10); 2009-05-09 (638.75); 2009-08-09 (730.95); 2009-11-09 (759.84); 2010-02-09 (718.84); 2010-05-09 (755.97); 2010-08-09 (755.84).
Accumulated return -30.81%
Redemption price 100 LTL

       

DNB PASAULIS-28 (išpirkta)
ISIN LT1000403592
Redemption date 2010-10-20
Participation 120%
Index original value
(2007-10-19)
1000
Interim observation dates
 
2008-01-14 (917.01); 2008-04-14 (831.22); 2008-07-14 (774.31); 2008-10-14 (611.28); 2009-01-14 (516.85); 2009-04-14 (538.08); 2009-07-14 (580.56); 2009-10-14 (691.58); 2010-01-14 (714.29); 2010-04-14 (733.67); 2010-07-14 (664.48); 2010-10-14 (708.94).
Accumulated return -37.18%
Redemption price 100 EUR

  700 000 000 Litas Medium-Term Note Programme Base Prospectus 500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB RUSIJA CEE-1,2 (išpirkta)
ISIN LT1000403154
Redemption date 2009-03-06
Participation 50%
Index original value
(2006-03-06)
2000
Interim observation dates
 
2006-05-29 (1854.46); 2006-08-28 (1941.09);
2006-11-27 (2042.20); 2007-02-27 (2046.30);
2007-05-28 (2026.16); 2007-08-27 (2096.90);
2007-11-27 (2147.86); 2008-02-27 (2070.07);
2008-05-27 (2218.64); 2008-08-27 (1794.93);
2008-11-27 (961.45); 2009-02-27 (708.96).
Accumulated return -4.36%
Redemption price 100 EUR

  80 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB RUSIJA CEE-3 (išpirkta)
ISIN LT1000403196
Redemption date 2009-04-27
Participation 50%
Index original value
(2006-04-27)
1000
Interim observation dates
 
2006-07-20 (913.43); 2006-10-20 (959.43);
2007-01-20 (1014.78); 2007-04-20 (1042.14);
2007-07-20 (1087.98); 2007-10-20 (1083.89);
2008-01-20 (912.79); 2008-04-20 (995.47);
2008-07-20 (969.83); 2008-10-20 (467.74);
2009-01-20 (374.83); 2009-04-20 (456.10).
Accumulated return -7.17%
Redemption price 100 EUR

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB RUSIJA CEE-4 (išpirkta)
ISIN LT1000403253
Redemption date 2009-05-19
Participation 70%
Index original value
(2006-05-19)
1000
Interim observation dates
 
2006-08-12 (1025.70); 2006-11-12 (1098.01); 2007-02-12 (1111.59); 2007-05-12 (1167.18); 2007-08-12 (1176.90); 2007-11-12 (1236.90); 2008-02-12 (1086.72); 2008-05-12 (1190.53); 2008-08-12 (1064.44); 2008-11-12 (531.20); 2009-02-12 (428.96); 2009-05-12 (602.26).
Accumulated return -1.63%
Redemption price 100 EUR

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB TRUMPALAIKĖS-1 (išpirkta)
ISIN LT0000401390
Redemption date 2008-11-04
Participation 70%
Index original value
(2007-05-04)
835.31
Interim observation dates
 
2007-07-27 (806.95); 2007-10-27 (774.27); 2008-01-27 (610.33); 2008-04-27 (649.88); 2008-07-27 (648.65); 2008-10-27 (323.68).
Accumulated return -16.73%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB TRUMPALAIKĖS-2 (išpirkta)
ISIN LT0000401416
Redemption date 2008-12-18
Participation 70%
Index original value
(2007-06-18)
3423.29
Interim observation dates
 
2007-09-11 (3156.78); 2007-12-11 (3048.78);
2008-03-11 (2504.83); 2008-06-11 (1931.73);
2008-09-11 (1733.06); 2008-12-11 (1207.98).
Accumulated return -23.71%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB TRUMPALAIKĖS-3 (išpirkta)
ISIN LT1000401034
Redemption date 2008-12-18
Participation 70%
Index original value
(2007-06-18)
3423.29
Interim observation dates
 
2007-09-11 (3156.78); 2007-12-11 (3048.78);
2008-03-11 (2504.83); 2008-06-11 (1931.73);
2008-09-11 (1733.06); 2008-12-11 (1207.98).
Accumulated return -23.71%
Redemption price 100 EUR

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB TRUMPALAIKĖS-4 (išpirkta)
ISIN LT0000402257
Redemption date 2009-03-26
Participation 60%
Index original value
(2007-09-24)
996.18
Interim observation dates
 
2007-12-20 (974.79); 2008-03-20 (928.99); 2008-06-20 (998.24); 
2008-09-20 (772.75); 2008-12-20 (529.33); 2009-03-20 (555.45).
Accumulated return -12.22%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB TRUMPALAIKĖS-5 (išpirkta)
ISIN LT0000402265
Redemption date 2009-03-26
Participation 160%
Index original value
(2007-09-24)
996.18
Interim observation dates
 
2007-12-20 (974.79); 2008-03-20 (928.99); 2008-06-20 (998.24); 
2008-09-20 (772.75); 2008-12-20 (529.33); 2009-03-20 (555.45).
Accumulated return -32.59%
Redemption price 100 LTL

  500 000 000 Litas Medium-Term Note Programme Base Prospectus    

DNB ŽALIAVOS-1 (išpirkta)
ISIN LT1000403295
Redemption date 2009-10-02
Participation 100%
Index original value
(2006-10-02)
1000
Interim observation dates
 
2006-10-02 (1000.00); 2009-09-25 (738.79).
Accumulated return -26.12%
Redemption price 100 EUR

  250 000 000 litų su vertybinių popierių arba prekių indeksais susietų obligacijų programos bazinis prospektas    

DNB ŽALIAVOS-2 (išpirkta)
ISIN LT0000430027
Redemption date 2010-08-16
Participation 140%
Index original value
(2007-08-14)
167.80
Interim observation dates
 
2007-11-09 (184.53); 2008-02-09 (197.87); 2008-05-09 (216.51); 2008-08-09 (188.47); 2008-11-09 (130.57); 2009-02-09 (112.82); 2009-05-09 (120.35); 2009-08-09 (129.79); 2009-11-09 (133.54); 2010-02-09 (129.33); 2010-05-09 (130.23); 2010-08-09 (134.99).
Accumulated return -14.23%
Redemption price 100 LTL

  The data on indices, which determine the value of the bonds, is for information purposes only. Should you have any questions regarding bonds and other securities, please contact AB DNB Bankas on +370 5 239 3444

Note: all the quotes in the tables are indicative.