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  Approved Prospectus - [Displaying results 181 - 200 of 2346]
 Issuer Name - DescriptionType of SecurityPublication Date
Final Terms: Issue of €500,000,000 Floating Rate Mortgage Covered Securities due 15 March 2019 (Series number 28 Tranche number 1)Final Terms: Issue of €500,000,000 Floating Rate Mortgage Covered Securities due 15 March 2019 (Series number 28 Tranche number 1)Debt18/09/2014
Final Terms: Issue of €650,000,000 Floating Rate Mortgage Covered Securities due 15 September 2021 (Series number 27 Tranche number 1)Final Terms: Issue of €650,000,000 Floating Rate Mortgage Covered Securities due 15 September 2021 (Series number 27 Tranche number 1)Debt18/09/2014
Final Terms: Issue of €500,000,000 2.25 per cent. Mortgage Covered Securities due 26 March 2021 (Series number 26 Tranche number 1)Final Terms: Issue of €500,000,000 2.25 per cent. Mortgage Covered Securities due 26 March 2021 (Series number 26 Tranche number 1)Debt30/04/2014
Supplement dated 14 March 2014Supplement dated 14 March 2014Debt14/03/2014
AIR BERLIN PLC – €75,000,000 8.25% Fixed Rate Notes due 2018 (03 March 2014)AIR BERLIN PLC – €75,000,000 8.25% Fixed Rate Notes due 2018 (03 March 2014)Debt03/03/2014
AK FINANSAL KIRALAMA A.Ş - U.S.$3,500,000,000 Global Medium Term Note Programme (10 September 2014)AK FINANSAL KIRALAMA A.Ş - U.S.$3,500,000,000 Global Medium Term Note Programme (10 September 2014)Debt10/09/2014
AK FINANSAL KIRALAMA A.S. - Issue of CZK 275,000,000 Floating Rate Notes due 2017 (26 March 2014)AK FINANSAL KIRALAMA A.S. - Issue of CZK 275,000,000 Floating Rate Notes due 2017 (26 March 2014)Debt26/03/2014
AK FINANSAL KIRALAMA A.S. - U.S.$3,000,000,000 Global Medium Term Note Programme (23 December 2013)AK FINANSAL KIRALAMA A.S. - U.S.$3,000,000,000 Global Medium Term Note Programme (23 December 2013)Debt23/12/2013
Supplement dated 27 June 2014Supplement dated 27 June 2014Debt27/06/2014
Final Terms:  Issue of EUR5,000,000 1.93 per cent. Fixed Rate Notes due 2 July 2014 (Series Number 19, Tranche Number 1)Final Terms: Issue of EUR5,000,000 1.93 per cent. Fixed Rate Notes due 2 July 2014 (Series Number 19, Tranche Number 1)Debt21/05/2014
Supplement dated 08 May 2014Supplement dated 08 May 2014Debt08/05/2014
Supplement dated 25 March 2014Supplement dated 25 March 2014Debt27/03/2014
Final Terms: Issue of HUF 700,000,000 6.95 per cent Notes due 20 February 2019 (Series number GMTN-2014-7 Tranche number 1)Final Terms: Issue of HUF 700,000,000 6.95 per cent Notes due 20 February 2019 (Series number GMTN-2014-7 Tranche number 1)Debt19/03/2014
Supplement dated 25 February 2014Supplement dated 25 February 2014Debt26/02/2014
AKBANK T.A.S. - U.S.$3,000,000,000 Global Medium Term Note Programme (23 December 2013)AKBANK T.A.S. - U.S.$3,000,000,000 Global Medium Term Note Programme (23 December 2013)Debt23/12/2013
Supplement dated 27 June 2014Supplement dated 27 June 2014Debt27/06/2014
Supplement dated 08 May 2014Supplement dated 08 May 2014Debt08/05/2014
Supplement dated 25 March 2014Supplement dated 25 March 2014Debt26/03/2014
Supplement dated 25 February 2014Supplement dated 25 February 2014Debt25/02/2014
AKBANK T.A.S. - U.S.$3,500,000,000 Global Medium Term Note Programme (10 September 2014)AKBANK T.A.S. - U.S.$3,500,000,000 Global Medium Term Note Programme (10 September 2014)Debt10/09/2014