Approved Prospectuses 

Search Approved Prospectuses

 
 
 
  To:  

View Full Printable Page
  Approved Prospectus - [Displaying results 181 - 200 of 2719]
 Issuer Name - DescriptionType of SecurityPublication Date
Supplement dated 04 March 2014Supplement dated 04 March 2014Debt04/03/2014
Final Terms: Issue of €5,700,000 3.94 per cent. Mortgage Covered Securities due 6 February 2034 (Series Number 45 Tranche Number 1)Final Terms: Issue of €5,700,000 3.94 per cent. Mortgage Covered Securities due 6 February 2034 (Series Number 45 Tranche Number 1)Debt26/02/2014
Final Terms: Issue of €50,000,000 4.15 per cent. Mortgage Covered Securities due 30 January 2034 (Series Number 43, Tranche Number 1)Final Terms: Issue of €50,000,000 4.15 per cent. Mortgage Covered Securities due 30 January 2034 (Series Number 43, Tranche Number 1)Debt04/02/2014
Final Terms: Issue of €10,000,000 3.605 per cent. Mortgage Covered Securities due 28 January 2029 (Series Number 44, Tranche Number 1)Final Terms: Issue of €10,000,000 3.605 per cent. Mortgage Covered Securities due 28 January 2029 (Series Number 44, Tranche Number 1)Debt28/01/2014
Supplement dated 16 December 2013Supplement dated 16 December 2013Debt16/12/2013
Final Terms: Issue of €1,000,000,00,1.875 per cent. mortgage Covered Securities due 13 May 2017 (Series Number 42 Tranche Number 1)Final Terms: Issue of €1,000,000,00,1.875 per cent. mortgage Covered Securities due 13 May 2017 (Series Number 42 Tranche Number 1)Debt15/11/2013
Final Terms: Issue of EUR 10,000,000 3.51 per cent Mortgage Covered Securities due 7 November 2025 (Series Number 41 Tranche Number 1)Final Terms: Issue of EUR 10,000,000 3.51 per cent Mortgage Covered Securities due 7 November 2025 (Series Number 41 Tranche Number 1)Debt08/11/2013
Final Terms: Issue of €500,000,000 3.625 per cent Mortgage Covered Securities due 2 October 2020 (Series number 40 Tranche number 1)Final Terms: Issue of €500,000,000 3.625 per cent Mortgage Covered Securities due 2 October 2020 (Series number 40 Tranche number 1)Debt03/10/2013
BARCLAYS BANK PLC - $10,000,000,000 Global Collateralised Medium Term Note Series (24 October 2013)BARCLAYS BANK PLC - $10,000,000,000 Global Collateralised Medium Term Note Series (24 October 2013)Debt24/10/2013
Supplement dated 01 April 2014Supplement dated 01 April 2014Debt01/04/2014
Final Terms: ¥ 10,500,000,000 Class AD Fixed Rate Notes due February 2015 (Series number 11492 Tranche number 1)Final Terms: ¥ 10,500,000,000 Class AD Fixed Rate Notes due February 2015 (Series number 11492 Tranche number 1)Debt20/03/2014
Final Terms: ¥12,500,000,000 Class AE Fixed Rate Notes due February 2015 (Series number 11492 Tranche number 1)Final Terms: ¥12,500,000,000 Class AE Fixed Rate Notes due February 2015 (Series number 11492 Tranche number 1)Debt20/03/2014
Supplement dated 18 February 2014Supplement dated 18 February 2014Debt18/02/2014
Final Terms: ¥10,000,000,000 Class Q Fixed Rate Notes due January 2015 (Series Number 11492, Tranche Number 1)Final Terms: ¥10,000,000,000 Class Q Fixed Rate Notes due January 2015 (Series Number 11492, Tranche Number 1)Debt20/01/2014
Final Terms: ¥4,000,000,000 Class R Fixed Rate Notes due 16 January 2015 (Series Number 11492, Tranche Number 1)Final Terms: ¥4,000,000,000 Class R Fixed Rate Notes due 16 January 2015 (Series Number 11492, Tranche Number 1)Debt17/01/2014
Supplement dated 13 December 2013)Supplement dated 13 December 2013)Debt13/12/2013
Final Terms: $100,000,000 Class T Floating Rate Notes due February 2015 (Series Number 11492 Tranche Number 1)Final Terms: $100,000,000 Class T Floating Rate Notes due February 2015 (Series Number 11492 Tranche Number 1)Debt29/11/2013
BARCLAYS BANK PLC - $10,000,000,000 Global Collateralised Medium Term Notes (24 September 2013)BARCLAYS BANK PLC - $10,000,000,000 Global Collateralised Medium Term Notes (24 September 2013)Debt24/09/2013
BATELCO INTERNATIONAL FINANCE NO.1 LIMITED - U.S.$650,000,000 4.250 per cent. Guaranteed Notes due 2020 (01 May 2013)BATELCO INTERNATIONAL FINANCE NO.1 LIMITED - U.S.$650,000,000 4.250 per cent. Guaranteed Notes due 2020 (01 May 2013)Debt01/05/2013
BAYONES ECA LIMITED– EUR 60,300,000 Zero Coupon Notes due 2022 (20 May 2013)BAYONES ECA LIMITED– EUR 60,300,000 Zero Coupon Notes due 2022 (20 May 2013)Debt21/05/2013