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  Approved Prospectus - [Displaying results 301 - 320 of 4263]
 Issuer Name - DescriptionType of SecurityPublication Date
BANK OF IRELAND MORTGAGE BANK - €15,000,000,000 Mortgage Covered Securities Programme (03 June 2015)BANK OF IRELAND MORTGAGE BANK - €15,000,000,000 Mortgage Covered Securities Programme (03 June 2015)Debt03/06/2015
BOS FUNDING LIMITED - U.S. $500,000,000 3.374 per cent Guaranteed Notes due 2020 (04 June 2015)BOS FUNDING LIMITED - U.S. $500,000,000 3.374 per cent Guaranteed Notes due 2020 (04 June 2015)Debt04/06/2015
BANKIA, S.A. - €10,000,000,000 Euro Medium Term Note Programme (23 September 2014)BANKIA, S.A. - €10,000,000,000 Euro Medium Term Note Programme (23 September 2014)Debt23/09/2014
BARCLAYS BANK PLC - $10,000,000,000 Global Collateralised Medium Term Notes (11 June 2015)BARCLAYS BANK PLC - $10,000,000,000 Global Collateralised Medium Term Notes (11 June 2015)Debt11/06/2015
Final Terms: Issue of €150,000,000 Class EU Floating Rate Notes due July 2016 (Series Number 11492, Tranche Number 1)Final Terms: Issue of €150,000,000 Class EU Floating Rate Notes due July 2016 (Series Number 11492, Tranche Number 1)Debt05/08/2015
Final Terms: Issue of €91,000,000 Class EY Floating Rate Notes due November 2015 (Series Number 11492, Tranche Number 1)Final Terms: Issue of €91,000,000 Class EY Floating Rate Notes due November 2015 (Series Number 11492, Tranche Number 1)Debt05/08/2015
Final Terms: Issue of €65,000,000 Class ER Floating Rate Notes due July 2017 (Series Number 11492, Tranche Number 1) (Amended and Restated)Final Terms: Issue of €65,000,000 Class ER Floating Rate Notes due July 2017 (Series Number 11492, Tranche Number 1) (Amended and Restated)Debt31/07/2015
Final Terms: Issue of €150,000,000 Class ES Floating Rate Notes due July 2016 (Series Number 11492, Tranche Number 1) (Amended and Restated)Final Terms: Issue of €150,000,000 Class ES Floating Rate Notes due July 2016 (Series Number 11492, Tranche Number 1) (Amended and Restated)Debt31/07/2015
Final Terms: Issue of €65,000,000 Class ER Floating Rate Notes due July 2017 (Series Number 11492, Tranche Number 1)Final Terms: Issue of €65,000,000 Class ER Floating Rate Notes due July 2017 (Series Number 11492, Tranche Number 1)Debt28/07/2015
Final Terms: Issue of €100,000,000 Class EW Floating Rate Notes due October 2015 (Series Number 11492, Tranche Number 1)Final Terms: Issue of €100,000,000 Class EW Floating Rate Notes due October 2015 (Series Number 11492, Tranche Number 1)Debt27/07/2015
Final Terms: Issue of €150,000,000 Class ES Floating Rate Notes due July 2016 (Series Number 11492, Tranche Number 1)Final Terms: Issue of €150,000,000 Class ES Floating Rate Notes due July 2016 (Series Number 11492, Tranche Number 1)Debt23/07/2015
Final Terms: Issue of €100,000,000 Class EN Floating Rate Notes due July 2016 (Series number 11492, Tranche number 1)Final Terms: Issue of €100,000,000 Class EN Floating Rate Notes due July 2016 (Series number 11492, Tranche number 1)Debt16/07/2015
Supplement dated 16 July 2015Supplement dated 16 July 2015Debt16/07/2015
Final Terms: Issue of €100,000,000 Class DP Floating Rate Notes due October 2015 (Series number 11492, Tranche number 1)Final Terms: Issue of €100,000,000 Class DP Floating Rate Notes due October 2015 (Series number 11492, Tranche number 1)Debt03/07/2015
Final Terms: Issue of €100,000,000 Class EM Floating Rate Notes due June 2017 (Series number 11492, Tranche number 1)Final Terms: Issue of €100,000,000 Class EM Floating Rate Notes due June 2017 (Series number 11492, Tranche number 1)Debt01/07/2015
BARCLAYS BANK PLC - Series Number 11492 Floating Rate Notes (03 July 2015)BARCLAYS BANK PLC - Series Number 11492 Floating Rate Notes (03 July 2015)Debt03/07/2015
BBVA GLOBAL MARKETS B.V. - €2,000,000,000 Programme for the Issue of Warrants (25 February 2015)BBVA GLOBAL MARKETS B.V. - €2,000,000,000 Programme for the Issue of Warrants (25 February 2015)Debt25/02/2015
Supplement dated 28 August 2015Supplement dated 28 August 2015Debt28/08/2015
Supplement dated 22 May 2015Supplement dated 22 May 2015Debt22/05/2015
BBVA GLOBAL MARKETS B.V. - €2,000,000,000 Structured Medium Term Note Programme (08 July 2015)BBVA GLOBAL MARKETS B.V. - €2,000,000,000 Structured Medium Term Note Programme (08 July 2015)Debt08/07/2015