| | Issuer Name - Description | Type of Security | Publication Date |
 | Final Terms: Issue of USD 26,748,000 Callable Zero Coupon Notes due 2042 (Series Number 47 Tranche Number 1) | Debt | 05/12/2012 |
 | Final Terms: Issue of USD 26,748,000 Callable Zero Coupon Notes due 2042 (Series Number 48 Tranche Number 1) | Debt | 04/12/2012 |
 | Final Terms: Issue of USD 1,130,000 6% Equity Linked Redemption Notes due 2017 (Series Number 45 Tranche Number 1) | Debt | 19/11/2012 |
 | Final Terms: Issue of USD 600,000 6% Equity Linked Redemption Notes due 2017 (Series Number 44 Tranche Number 1) | Debt | 19/11/2012 |
 | BCC SME FINANCE 1 S.R.L. - € 1,533,000,000 Class A Asset Backed Floating Rate Notes due May 2060 (10 August 2012) | Debt | 10/08/2012 |
 | BENEFIT STREET PARTNERS CLO I, LTD & BENEFIT STREET PARTNERS CLO I LLC - Notes due 2023 (05 November 2012) | Debt | 05/11/2012 |
 | BGE FINANCE PUBLIC LIMITED COMPANY - EUR2,000,000,000 Euro Medium Term Note Programme (25 June 2012) | Debt | 25/06/2012 |
 | BILKREDITT 3 LIMITED - Floating Rate Secured Notes due April 2027 (27 November 2012) | Debt | 27/11/2012 |
 | BIZ FINANCE PLC - U.S. $100,000,000 8.75 per cent. Loan Participation Notes due 2018 (28 March 2013) | Debt | 28/03/2013 |
 | BIZ FINANCE PLC - U.S.$500,000,000 8.75 per cent. Loan Participation Notes due 2018 (17 January 2013) | Debt | 17/01/2013 |
| | BLUEMOUNTAIN CLO 2012-1 LTD & BLUEMOUNTAIN CLO 2012-1 LLC - Notes due 2023 (21 June 2012) | Debt | 21/06/2012 |
| | The Issuer has requested that the above Prospectus should not be published on the website of the Central Bank in accordance with Regulation 45(1)(e) of the Regulation.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 by the Issuer in printed form, free of charge, at the offices of the Irish Stock Exchange pursuant to Regulation 45(1)(b) of the Regulation. | Debt | 21/06/2012 |
 | BLUEMOUNTAIN CLO 2012-2 LTD & BLUEMOUNTAIN CLO 2012-2 LLC - Notes due 2024 | Debt | 21/11/2012 |
 | BOATS INVESTMENT (NETHERLANDS) B.V. – Series 141: EUR20,000,000 Secured Repackaged Notes due 2015 (11 October 2012) | Debt | 11/10/2012 |
 | BOATS INVESTMENTS (NETHERLANDS) B.V. - Series 142 EUR 20,000,000 Secured Repackaged Notes due 2015 (30 October 2012) | Debt | 30/10/2012 |
 | BOATS INVESTMENTS (NETHERLANDS) B.V. - Series 144 EUR 20,000,000 Secured Repackaged Notes due 2015 (05 November 2012) | Debt | 05/11/2012 |
 | BOATS INVESTMENTS (NETHERLANDS) B.V. - Series 145 EUR 30,000,000 Secured Repackaged Notes due 2018 (05 November 2012) | Debt | 05/11/2012 |
 | BOOST ISSUER PUBLIC LIMITED COMPANY – Collateralised ETP Securities Programme (30 November 2012) | Debt | 30/11/2012 |
 | Final Terms: Issue of 3,600 Boost NASDAQ 100 3x Short Daily ETP Securities (LSE Code: QQQS) | Debt | 20/05/2013 |
 | Final Terms: Issue of 3500 Boost Silver 3x Leverage Daily ETP Securities (LSE Code: 3SIL Tranche Number 3) | Debt | 19/03/2013 |