Approved Prospectuses 

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  Approved Prospectus - [Displaying results 321 - 340 of 2113]
 Issuer Name - DescriptionType of SecurityPublication Date
Final Terms:  Issue of USD10,000,000 Equity Participation Notes linked to Yanbu Cement due 2018 (Series Number 2014-14, Tranche Number 1)Final Terms: Issue of USD10,000,000 Equity Participation Notes linked to Yanbu Cement due 2018 (Series Number 2014-14, Tranche Number 1)Debt22/05/2014
ARQ P NOTES B.V. – USD 10,000,000,000 Equity Participation Notes Programme (20 December 2013)ARQ P NOTES B.V. – USD 10,000,000,000 Equity Participation Notes Programme (20 December 2013)Debt20/12/2013
 ARROWPOINT CLO 2014-2, LTD. & ARROWPOINT CLO 2014-2, CORP. - Notes due 2026 (26 March 2014)Debt26/03/2014
 The Issuer has requested that the above Prospectus should not be published on the website of the Central Bank in accordance with Regulation 45(1)(e) of the Regulation.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 in an electronic form on the website of the regulated market where the admission to trading is sought pursuant to Regulation 45(1)(d) of the Regulation.http://www.ise.ie/app/DeptSecurityDocuments.aspx?progID="-1&uID=5207&FIELDSORT=docIdDebt26/03/2014
 ARYZTA EURO FINANCE LIMITED - €250,000,000 Perpetual Callable Subordinated Securities (19 November 2014)Debt20/11/2014
 The Issuer has requested that the above Base Prospectus dated 19 November 2014 should not be published on the website of the Central Bank in accordance with Regulation 45(1)(e) of the Regulation. The above Base Prospectus will be made available in an electronic form on the website of the Issuer at http://ise.ie/debt_documents/Prospectus%20-%20Standalone_a545f5df-fab2-4d1c-bf8a-3cba12d9eb4c.PDF?v="10112014" persuant to Regulation 45(1)(c) of the Regulation.Debt11/12/2014
ASSET REPACKAGING TRUST SIX B.V. - Series 31 - EUR 100,000,000 OAT Linked Notes due 2035 (25 July 2014)ASSET REPACKAGING TRUST SIX B.V. - Series 31 - EUR 100,000,000 OAT Linked Notes due 2035 (25 July 2014)Debt28/07/2014
ASSET REPACKAGING TRUST SIX B.V. - Series 34 EUR 94,600,000 OAT Linked Notes due 2035 (22 August 2014)ASSET REPACKAGING TRUST SIX B.V. - Series 34 EUR 94,600,000 OAT Linked Notes due 2035 (22 August 2014)Debt22/08/2014
ASSET REPACKAGING TRUST SIX B.V. - U.S.$10,000,000,000 Secured Note Programme (05 August 2014)ASSET REPACKAGING TRUST SIX B.V. - U.S.$10,000,000,000 Secured Note Programme (05 August 2014)Debt05/08/2014
ATLANTIC CAPITAL INTERNATIONAL LIMITED - Secured Note Issuance Programme (17 July 2014)ATLANTIC CAPITAL INTERNATIONAL LIMITED - Secured Note Issuance Programme (17 July 2014)Debt18/07/2014
AUTOSTRADE PER L'ITALIA S.P.A. - €7,000,000,000 Euro Medium Term Note Programme (31 October 2014)AUTOSTRADE PER L'ITALIA S.P.A. - €7,000,000,000 Euro Medium Term Note Programme (31 October 2014)Debt31/10/2014
AVIVA INVESTORS EUROPEAN SECONDARY INFRASTRUCTURE CREDIT SV S.A. - €25,000,000 Secured Revolving Profit Participating Notes due 2039 (09 September 2014)AVIVA INVESTORS EUROPEAN SECONDARY INFRASTRUCTURE CREDIT SV S.A. - €25,000,000 Secured Revolving Profit Participating Notes due 2039 (09 September 2014)Debt09/09/2014
AVOCA CLO XI LIMITED - Notes due 2027 (05 June 2014)AVOCA CLO XI LIMITED - Notes due 2027 (05 June 2014)Debt09/06/2014
AVOCA CLO XII LIMITED - Notes due 2027 (16 September 2014)AVOCA CLO XII LIMITED - Notes due 2027 (16 September 2014)Debt16/09/2014
AVOCA CLO XIII LIMITED - Notes due 2027 (12 December 2014)AVOCA CLO XIII LIMITED - Notes due 2027 (12 December 2014)Debt15/12/2014
AVOCA CREDIT OPPORTUNITIES PLC - €200,000,000 VF-2 Senior Secured Variable Funding Notes due 2017 (29 August 2014)AVOCA CREDIT OPPORTUNITIES PLC - €200,000,000 VF-2 Senior Secured Variable Funding Notes due 2017 (29 August 2014)Debt01/09/2014
BABSON CLO LTD. 2013-II & BABSON CLO 2013-II, LLC - Notes due 2025 (05 February 2014)BABSON CLO LTD. 2013-II & BABSON CLO 2013-II, LLC - Notes due 2025 (05 February 2014)Debt05/02/2014
BAHRAIN MUMTALAKAT HOLDING COMPANY B.S.C. (C) - U.S.$1,000,000,000 Euro Medium Term Note Programme (30 October 2014)BAHRAIN MUMTALAKAT HOLDING COMPANY B.S.C. (C) - U.S.$1,000,000,000 Euro Medium Term Note Programme (30 October 2014)Debt30/10/2014
BANCA FARMAFACTORING S.P.A. - €300,000,000 2.75 per cent. Notes due 2017 (09 June 2014)BANCA FARMAFACTORING S.P.A. - €300,000,000 2.75 per cent. Notes due 2017 (09 June 2014)Debt09/06/2014
 BANCA IMI S.P.A. - Certificates Programme (29 July 2014)Debt29/07/2014