Atsinaujinančios Energetikos Investicijos Invites to Join Investor Webinar Regarding Bond Issue
Atsinaujinančios Energetikos Investicijos invites investors to join the Investor webinar scheduled on the 21 October 2025 at 14:00 (in English) and 10:00 (in Lithuanian) (EEST/Baltic time).
During the call UTIB UAB Atsinaujinančios energetikos investicijos (Issuer) Investment Company Manager Mantas Auruškevičius and Orion Securities (Issue organizer) Head of Investment Banking Mykantas Urba will present bond issue details and answer investor questions.
21 October 2025 at 14:00 (in English) Register here.
21 October 2025 at 10:00 (in Lithuanian) Register here.
Key bond issue details:
- Issuer: UTIB UAB Atsinaujinančios energetikos investicijos
- Coupon rate: 8.5%
- Maturity: 13 months
- Coupon payment rate: semi-annual
- Total bond programme size: up to EUR 50m
- Size of the first series and tranche: up to EUR 25m
- Subscription period of the Bonds: 15-31 October 2025
- Issue price of one Bond: EUR 1,000
- Minimum investment amount: EUR 1,000
- Use of proceeds: Refinancing existing bonds or financing, in part or in full, acquisition, development and construction of projects in renewable solar and wind energy and related infrastructure.
- ISIN: LT0000135840
The existing bondholders of UTIB UAB Atsinaujinančios energetikos investicijos bonds (ISIN LT0000405938), maturing on 14 Dec 2025 will be able to exchange these bonds to newly issued ones through the Nasdaq CSD securities exchange offer.
For more information and full documentation click here.