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  Approved Prospectus - [Displaying results 401 - 420 of 2115]
 Issuer Name - DescriptionType of SecurityPublication Date
BRASS NO. 4 PLC - £1,000,000,000 Class A Mortgage Backed Floating Rate Notes due June 2052 (23 October 2014)BRASS NO. 4 PLC - £1,000,000,000 Class A Mortgage Backed Floating Rate Notes due June 2052 (23 October 2014)Debt23/10/2014
BROOKFIELDS CAPITAL P.L.C. - €40,000,000,000 Programme for the issue of Notes (11 September 2014)BROOKFIELDS CAPITAL P.L.C. - €40,000,000,000 Programme for the issue of Notes (11 September 2014)Debt12/09/2014
Final Terms:  Series No. 2012-22 Tranche 3 EUR 75,000,000 Floating Rate Secured Senior Notes (Series Number 2012-22, Tranche Number 3)Final Terms: Series No. 2012-22 Tranche 3 EUR 75,000,000 Floating Rate Secured Senior Notes (Series Number 2012-22, Tranche Number 3)Debt15/10/2014
BURGAN TIER 1 FINANCING LIMITED - U.S.$500,000,000 Perpetual Tier 1 Capital Securities (29 September 2014)BURGAN TIER 1 FINANCING LIMITED - U.S.$500,000,000 Perpetual Tier 1 Capital Securities (29 September 2014)Debt29/09/2014
LA CAISSE CENTRALE DESJARDINS DU QUÉBEC - €5,000,000,000 Global Covered Bond Programme (31 January 2014)LA CAISSE CENTRALE DESJARDINS DU QUÉBEC - €5,000,000,000 Global Covered Bond Programme (31 January 2014)Debt31/01/2014
Supplement dated 17 November 2014Supplement dated 17 November 2014Debt18/11/2014
Supplement dated 13 October 2014Supplement dated 13 October 2014Debt13/10/2014
Supplement dated 02 October 2014Supplement dated 02 October 2014Debt02/10/2014
Supplement dated 20 August 2014Supplement dated 20 August 2014Debt20/08/2014
Supplement dated 30 June 2014Supplement dated 30 June 2014Debt30/06/2014
Supplement dated 23 May 2014Supplement dated 23 May 2014Debt23/05/2014
Final Terms: Issue of €1,000,000,000 1.125% Series CBL1 Covered Bonds due March 11, 2019 (Series Number CBL1 Tranche Number 1)Final Terms: Issue of €1,000,000,000 1.125% Series CBL1 Covered Bonds due March 11, 2019 (Series Number CBL1 Tranche Number 1)Debt10/04/2014
Supplement dated 31 March 2014Supplement dated 31 March 2014Debt31/03/2014
Supplement dated 18 March 2014 Supplement dated 18 March 2014 Debt18/03/2014
Supplement dated 26 February 2014Supplement dated 26 February 2014Debt26/02/2014
CAIXABANK S.A. - EUR 594,300,000 Unsecured Mandatory Exchangeable Bonds due 2016  Exchangeable for existing shares in Repsol, S.A. (18 December 2013)CAIXABANK S.A. - EUR 594,300,000 Unsecured Mandatory Exchangeable Bonds due 2016 Exchangeable for existing shares in Repsol, S.A. (18 December 2013)Debt18/12/2013
CAMPUS LIVING VILLAGES (BOND ISSUER) UK PLC - Amortising Notes due 2063 (26 February 2014)CAMPUS LIVING VILLAGES (BOND ISSUER) UK PLC - Amortising Notes due 2063 (26 February 2014)Debt26/02/2014
CARISMI FINANCE S.R.L. - Euro 252,600,000 Class A Asset Backed Floating Rate Notes due February 2054 (07 July 2014)CARISMI FINANCE S.R.L. - Euro 252,600,000 Class A Asset Backed Floating Rate Notes due February 2054 (07 July 2014)Debt07/07/2014
CARLYLE GLOBAL MARKET STRATEGIES EURO CLO 2014-2 LIMITED - Notes due 2027 (25 June 2014)CARLYLE GLOBAL MARKET STRATEGIES EURO CLO 2014-2 LIMITED - Notes due 2027 (25 June 2014)Debt25/06/2014
CARLYLE GLOBAL MARKET STRATEGIES EURO CLO 2014-3 LIMITED - Notes due 2027 (28 October 2014)CARLYLE GLOBAL MARKET STRATEGIES EURO CLO 2014-3 LIMITED - Notes due 2027 (28 October 2014)Debt28/10/2014