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  Approved Prospectus - [Displaying results 301 - 320 of 3040]
 Issuer Name - DescriptionType of SecurityPublication Date
 BENU CAPITAL LIMITED - Notes due January 8, 2020 (24 April 2015)Debt24/04/2015
 The Issuer has requested that the Prospectus dated 24 April 2015, should not be published on the website of the Central Bank in accordance with Regulation 45(1)(e) of the Regulation. The above Prospectus will be made available in an electronic form on the website of the regulated market where admission to trading has been sought at http://www.ise.ie/Market-Data-Announcements/Debt/Individual-Debt-Instrument-Data/Dept-Security-Documents/?progID="-1&uID=6968&FIELDSORT=docId" pursuant to Regulation 45(1)(d) of the Regulation.Debt24/04/2015
BEREKET VARLIK KIRALAMA A.S. - U.S. $350,000,000 Certificates due 2019 (26 June 2014)BEREKET VARLIK KIRALAMA A.S. - U.S. $350,000,000 Certificates due 2019 (26 June 2014)Debt26/06/2014
BILKREDITT 6 LIMITED - Floating Rate Secured Notes due July 2029 (12 September 2014)BILKREDITT 6 LIMITED - Floating Rate Secured Notes due July 2029 (12 September 2014)Debt12/09/2014
BLUEMOUNTAIN CLO 2014-1 LTD & BLUEMOUNTAIN CLO 2014-1 LLC - Notes due 2026 (07 May 2014)BLUEMOUNTAIN CLO 2014-1 LTD & BLUEMOUNTAIN CLO 2014-1 LLC - Notes due 2026 (07 May 2014)Debt07/05/2014
BLUEMOUNTAIN CLO 2014-2 LTD. & BLUEMOUNTAIN CLO 2014-2 LLC - Notes due 2026 (15 July 2014)BLUEMOUNTAIN CLO 2014-2 LTD. & BLUEMOUNTAIN CLO 2014-2 LLC - Notes due 2026 (15 July 2014)Debt15/07/2014
BLUEMOUNTAIN CLO 2014-3 LTD. & BLUEMOUNTAIN CLO 2014-3 LLC - Notes due 2026 (02 October 2014)BLUEMOUNTAIN CLO 2014-3 LTD. & BLUEMOUNTAIN CLO 2014-3 LLC - Notes due 2026 (02 October 2014)Debt02/10/2014
BLUEMOUNTAIN CLO 2014-4 LTD , BLUEMOUNTAIN CLO 2014-4 LLC - Notes due 2026 (12 January 2015)BLUEMOUNTAIN CLO 2014-4 LTD , BLUEMOUNTAIN CLO 2014-4 LLC - Notes due 2026 (12 January 2015)Debt12/01/2015
BLUEMOUNTAIN CLO 2015-1 LTD & BLUEMOUNTAIN CLO 2015-1 LLC- Notes due 2027 (01 April 2015)BLUEMOUNTAIN CLO 2015-1 LTD & BLUEMOUNTAIN CLO 2015-1 LLC- Notes due 2027 (01 April 2015)Debt01/04/2015
BNPP IP EURO CLO 2015-1 B.V. - Notes due 2028 (14 April 2015)BNPP IP EURO CLO 2015-1 B.V. - Notes due 2028 (14 April 2015)Debt14/04/2015
BOOST ISSUER PUBLIC LIMITED COMPANY - Collateralised ETP Securities Programme (17 November 2014)BOOST ISSUER PUBLIC LIMITED COMPANY - Collateralised ETP Securities Programme (17 November 2014)Debt18/11/2014
Final Terms: Issue of 16,000 Boost FTSE MIB 3x Short Daily ETP Securities (LSE Code 3ITS Trance Number 37)Final Terms: Issue of 16,000 Boost FTSE MIB 3x Short Daily ETP Securities (LSE Code 3ITS Trance Number 37)Debt25/04/2015
Final Terms: Issue of 55,000 Boost Silver 3x Leverage Daily ETP Securities (LSE Code 3SIL Tranche Number 94)Final Terms: Issue of 55,000 Boost Silver 3x Leverage Daily ETP Securities (LSE Code 3SIL Tranche Number 94)Debt25/04/2015
Final Terms: Issue of 4,000 Boost FTSE 250 2x Leverage Daily ETP Securities (LSE Code 2MCL Tranche Number 11)Final Terms: Issue of 4,000 Boost FTSE 250 2x Leverage Daily ETP Securities (LSE Code 2MCL Tranche Number 11)Debt25/04/2015
Final Terms: Issue of 10,000 Boost Natural Gas 3x Short Daily ETP Securities (LSE Code 3NGS Tranche Number 152)Final Terms: Issue of 10,000 Boost Natural Gas 3x Short Daily ETP Securities (LSE Code 3NGS Tranche Number 152)Debt25/04/2015
Final Terms: Issue of 30,000 Boost EURO STOXX 50 3x Short Daily ETP Securities (LSE Code 3EUS Tranche Number 15)Final Terms: Issue of 30,000 Boost EURO STOXX 50 3x Short Daily ETP Securities (LSE Code 3EUS Tranche Number 15)Debt25/04/2015
Final Terms: Issue of 115,000 Boost Silver 3x Leverage Daily ETP Securities (LSE Code 3SIL Tranche Number 95)Final Terms: Issue of 115,000 Boost Silver 3x Leverage Daily ETP Securities (LSE Code 3SIL Tranche Number 95)Debt25/04/2015
Final Terms: Issue of 20,000 Boost Natural Gas 3x Short Daily ETP Securities (LSE Code 3NGS Tranche Number 164)Final Terms: Issue of 20,000 Boost Natural Gas 3x Short Daily ETP Securities (LSE Code 3NGS Tranche Number 164)Debt25/04/2015
Final Terms: Issue of 10,000 Boost Copper 3x Leverage Daily ETP Securities (LSE Code 3HCL Tranche Number 11)Final Terms: Issue of 10,000 Boost Copper 3x Leverage Daily ETP Securities (LSE Code 3HCL Tranche Number 11)Debt25/04/2015
Final Terms: Issue of 6,000 Boost WTI Oil 3x Short Daily ETP Securities (LSE Code 3OIS Tranche Number 81)Final Terms: Issue of 6,000 Boost WTI Oil 3x Short Daily ETP Securities (LSE Code 3OIS Tranche Number 81)Debt25/04/2015