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  Approved Prospectus - [Displaying results 321 - 340 of 2346]
 Issuer Name - DescriptionType of SecurityPublication Date
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 (29 April 2014)BARCLAYS BANK PLC - $10,000,000,000 Global Collateralised Medium Term Notes (29 April 2014)Debt29/04/2014
Supplement dated 19 September 2014Supplement dated 19 September 2014Debt19/09/2014
Supplement dated 03 July 2014Supplement dated 03 July 2014Debt03/07/2014
BBVA GLOBAL MARKETS B.V. – €2,000,000,000 Programme for the Issue of Warrants (18 February 2014)BBVA GLOBAL MARKETS B.V. – €2,000,000,000 Programme for the Issue of Warrants (18 February 2014)Debt18/02/2014
Final Terms:  Issue of 340 Equity Linked Warrants due 20 March 2015 (Series Number 2, Tranche Number 1)Final Terms: Issue of 340 Equity Linked Warrants due 20 March 2015 (Series Number 2, Tranche Number 1)Debt18/09/2014
Supplement dated 18 August 2014Supplement dated 18 August 2014Debt18/08/2014
Supplement dated 15 July 2014Supplement dated 15 July 2014Debt15/07/2014
BBVA GLOBAL MARKETS B.V. - €2,000,000,000 Structured Medium Term Note Programme (09 July 2014)BBVA GLOBAL MARKETS B.V. - €2,000,000,000 Structured Medium Term Note Programme (09 July 2014)Debt09/07/2014
Final Terms: Issue of EUR 450,000 Equity Linked Notes due 2015 (Series Number 115, Tranche Number 1)Final Terms: Issue of EUR 450,000 Equity Linked Notes due 2015 (Series Number 115, Tranche Number 1)Debt09/10/2014
Final Terms:  Issue of EUR 500,000 Equity Linked Notes due 2019 (Series Number 108, Tranche Number 1)Final Terms: Issue of EUR 500,000 Equity Linked Notes due 2019 (Series Number 108, Tranche Number 1)Debt18/09/2014
Final Terms:  Issue of EUR 500,000 Equity Linked Notes due 2019 (Series Number 107, Tranche Number 1)Final Terms: Issue of EUR 500,000 Equity Linked Notes due 2019 (Series Number 107, Tranche Number 1)Debt18/09/2014
Final Terms:  Issue of EUR 450,000 Equity Linked Notes due 2015 (Series Number 111, Tranche Number 1)Final Terms: Issue of EUR 450,000 Equity Linked Notes due 2015 (Series Number 111, Tranche Number 1)Debt09/09/2014
Final Terms:  Issue of EUR 1,250,000 Fund Share Linked Notes due 2015 (Series Number 112, Tranche Number 1)Final Terms: Issue of EUR 1,250,000 Fund Share Linked Notes due 2015 (Series Number 112, Tranche Number 1)Debt09/09/2014
Final Terms:  Issue of EUR 2,250,000 Fund Share Linked Notes due 2015 (Series Number 113, Tranche Number 1)Final Terms: Issue of EUR 2,250,000 Fund Share Linked Notes due 2015 (Series Number 113, Tranche Number 1)Debt09/09/2014
Supplement dated 18 August 2014Supplement dated 18 August 2014Debt18/08/2014
BBVA GLOBAL MARKETS B.V. - Series 84 - Issue of EUR 15,000,000 Linear Basket Credit Linked Notes due 2017 (30 October 2013)BBVA GLOBAL MARKETS B.V. - Series 84 - Issue of EUR 15,000,000 Linear Basket Credit Linked Notes due 2017 (30 October 2013)Debt30/10/2013