Updated schedule of Government Securities auctions for November 2022 - January
2023:
Auction Payment Redemption Currency Maturity Issue
date date date (days)
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2022-11-07 2022-11-09 2029-12-15 EUR 2593 LT0000670069
tap
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2022-11-14 2022-11-16 2027-07-13 EUR 1700 LT0000650087
tap
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2022-11-21 2022-11-23 2025-08-04 EUR 985 LT0000630097
tap
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2022-11-28 2022-11-30 2027-07-13 EUR 1686 LT0000650087
tap
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2023-01-02 2023-01-04 2025-08-04 EUR 943 LT0000630097
tap
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2023-01-09 2023-01-11 2029-12-15 EUR 2530 LT0000670069
tap
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2023-01-16 2023-01-18 2027-07-13 EUR 1637 LT0000650087
tap
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2023-01-23 2023-01-25 2025-08-04 EUR 922 LT0000630097
tap
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2023-01-30 2023-02-01 2029-12-15 EUR 2509 LT0000670069
tap
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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.
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