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  Approved Prospectus - [Displaying results 321 - 340 of 3346]
 Issuer Name - DescriptionType of SecurityPublication Date
Final Terms: Issue of €35,000,000 Class HV Fixed Rate Notes due December 2017 (Series Number 11492 Class HV)Final Terms: Issue of €35,000,000 Class HV Fixed Rate Notes due December 2017 (Series Number 11492 Class HV)Debt06/12/2016
Final Terms: Issue of Series number 11492 Class HL €124,500,000 Class HL Fixed Rate Notes due February 2017 (Series number 11492 HL, Tranche number 1)Final Terms: Issue of Series number 11492 Class HL €124,500,000 Class HL Fixed Rate Notes due February 2017 (Series number 11492 HL, Tranche number 1)Debt16/11/2016
Supplement dated 07 November 2016Supplement dated 07 November 2016Debt07/11/2016
Final Terms: Issue of €50,000,000 Class HF Fixed Rate Notes due October 2018 (Series Number 11492, Tranche Number 1)Final Terms: Issue of €50,000,000 Class HF Fixed Rate Notes due October 2018 (Series Number 11492, Tranche Number 1)Debt03/11/2016
Final Terms: Issue of €150,000,000 Class HD Fixed Rate Notes due December 2016 (Series Number 11492, Tranche Number 1)Final Terms: Issue of €150,000,000 Class HD Fixed Rate Notes due December 2016 (Series Number 11492, Tranche Number 1)Debt20/09/2016
Final Terms: Issue of €100,000,000 Class GY Fixed Rate Notes due September 2017 (Series Number 11492, Tranche Number 1) Final Terms: Issue of €100,000,000 Class GY Fixed Rate Notes due September 2017 (Series Number 11492, Tranche Number 1) Debt20/09/2016
Final Terms: Issue of $60,000,000 Class HC Floating Rate Notes due March 2017 (Series Number 11492, Tranche Number 1)Final Terms: Issue of $60,000,000 Class HC Floating Rate Notes due March 2017 (Series Number 11492, Tranche Number 1)Debt15/09/2016
Supplement dated 17 August 2016Supplement dated 17 August 2016Debt17/08/2016
Final Terms: Issue of €125,500,000 Class GX Fixed Rate Notes due November 2016 (Series Number 11492, Tranche Number 1) Final Terms: Issue of €125,500,000 Class GX Fixed Rate Notes due November 2016 (Series Number 11492, Tranche Number 1) Debt05/08/2016
BBVA GLOBAL MARKETS B.V. - €2,000,000,000 Programme for the Issue of Warrants (14 April 2016)BBVA GLOBAL MARKETS B.V. - €2,000,000,000 Programme for the Issue of Warrants (14 April 2016)Debt14/04/2016
Supplement dated 16 March 2017Supplement dated 16 March 2017Debt16/03/2017
Supplement dated 16 January 2017Supplement dated 16 January 2017Debt17/01/2017
Supplement dated 23 November 2016Supplement dated 23 November 2016Debt23/11/2016
Supplement dated 12 August 2016Supplement dated 12 August 2016Debt12/08/2016
Supplement dated 13 May 2016Supplement dated 13 May 2016Debt13/05/2016
BBVA GLOBAL MARKETS B.V. - €2,000,000,000 Structured Medium Term Note Programme (19 July 2016)BBVA GLOBAL MARKETS B.V. - €2,000,000,000 Structured Medium Term Note Programme (19 July 2016)Debt20/07/2016
Supplement dated 07 March 2017Supplement dated 07 March 2017Debt07/03/2017
Final Terms: Issue of CHF 5,000,000 Index Linked Notes due 2023 (Series Number 310, Tranche Number 1)Final Terms: Issue of CHF 5,000,000 Index Linked Notes due 2023 (Series Number 310, Tranche Number 1)Debt27/02/2017
Final Terms: Issue of EUR 1,000,000 Equity Linked Notes due 2020 (Series Number 303, Tranche Number 1)Final Terms: Issue of EUR 1,000,000 Equity Linked Notes due 2020 (Series Number 303, Tranche Number 1)Debt23/02/2017
Final Terms: Issue of USD 950,000 Credit Linked Notes due 2022 (Series Number 298, Tranche Number 1)Final Terms: Issue of USD 950,000 Credit Linked Notes due 2022 (Series Number 298, Tranche Number 1)Debt23/02/2017