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  Approved Prospectus - [Displaying results 61 - 80 of 2342]
 Issuer Name - DescriptionType of SecurityPublication Date
ABU DHABI COMMERCIAL BANK PJSC - U.S.$7,500,000,000
Global Medium Term Note Programme (18 February 2014)ABU DHABI COMMERCIAL BANK PJSC - U.S.$7,500,000,000 Global Medium Term Note Programme (18 February 2014)Debt20/02/2014
ACAS CLO 2013-2, Ltd. & ACAS CLO 2013-2, LLC - Notes due 2025 (26 November 2013)ACAS CLO 2013-2, Ltd. & ACAS CLO 2013-2, LLC - Notes due 2025 (26 November 2013)Debt26/11/2013
ACCESS BANK PLC - U.S.$1,000,000,000 Global Medium Term Note Programme (03 June 2014)ACCESS BANK PLC - U.S.$1,000,000,000 Global Medium Term Note Programme (03 June 2014)Debt03/06/2014
ACCIONA, S.A. - €1,000,000,000 Euro Medium Term Note Programme (02 July 2014)ACCIONA, S.A. - €1,000,000,000 Euro Medium Term Note Programme (02 July 2014)Debt02/07/2014
ACCIONA, S.A. - €62,700,000 5.55 per cent. Senior Unsecured Notes due 2024 (28 April 2014)ACCIONA, S.A. - €62,700,000 5.55 per cent. Senior Unsecured Notes due 2024 (28 April 2014)Debt28/04/2014
 ACHMEA HYPOTHEEKBANK N.V. - €5,000,000,000 Medium Term Note Programme (07 February 2014)Debt07/02/2014
Final Terms:  Issue of EUR 25,000,000 Senior Unsecured Notes due March 2017 (Series Number 16 Tranche Number 1)Final Terms: Issue of EUR 25,000,000 Senior Unsecured Notes due March 2017 (Series Number 16 Tranche Number 1)Debt29/04/2014
Supplement dated 23 April 2014Supplement dated 23 April 2014Debt23/04/2014
Final Terms: Issue of EUR 25,000,000 Fixed Rate Notes due 2029 (Series number 17 Tranche number 1)Final Terms: Issue of EUR 25,000,000 Fixed Rate Notes due 2029 (Series number 17 Tranche number 1)Debt16/04/2014
Final Terms:  Issue of 12,000,000 Fixed Rate Notes due 27 February 2017 (Series Number 15 Tranche Number 1)Final Terms: Issue of 12,000,000 Fixed Rate Notes due 27 February 2017 (Series Number 15 Tranche Number 1)Debt03/04/2014
Final Terms: Issue of EUR 20,000,000 Floating Rate Notes due February 2016 (Series number 13 Tranche number 1)Final Terms: Issue of EUR 20,000,000 Floating Rate Notes due February 2016 (Series number 13 Tranche number 1)Debt20/03/2014
Final Terms: Issue of  €750,000,000 2.75 per cent. Notes due February 2021 (Series Number 12 Tranche number 1)Final Terms: Issue of €750,000,000 2.75 per cent. Notes due February 2021 (Series Number 12 Tranche number 1)Debt19/03/2014
 The Issuer has requested that the Base Prospectus dated 7 February 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 electronic form on the website of the regulated market where the admission to trading is sought http://www.ise.ie/debt_documents/Base%20Prospectus_721b18f0-dffe-45e8-ba1f-0015e0fd8dc6.pdf pursuant to Regulation 45(1)(d) of the Regulation.Debt07/02/2014
ACS, ACTIVIDADES DE CONSTRUCCIÓN Y SERVICIOS, S.A. - €1,500,000,000 Euro Medium Term Note Programme (01 July 2014)ACS, ACTIVIDADES DE CONSTRUCCIÓN Y SERVICIOS, S.A. - €1,500,000,000 Euro Medium Term Note Programme (01 July 2014)Debt01/07/2014
 ACTAVIS PLC - Prospectus relating to the issue by Actavis plc to the stockholders of Forest Laboratories, Inc. of ordinary shares in Actavis plc in exchange for their shares of common stock in Forest Laboratories, Inc. (30 May 2014)Equity30/05/2014
 The Issuer has requested that the Prospectus dated 30 May 2014 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 issuer’s website at http://ir.actavis.com/phoenix.zhtml?c="65778&p=proxy2014," pursuant to regulation 14(c) of the Regulations.Equity30/05/2014
ADCB FINANCE (CAYMAN) LIMITED - U.S.$7,500,000,000
Global Medium Term Note Programme (18 February 2014)ADCB FINANCE (CAYMAN) LIMITED - U.S.$7,500,000,000 Global Medium Term Note Programme (18 February 2014)Debt20/02/2014
Final Terms: Issue of U.S.$750,000,000 3.000 per cent. Notes due 2019 (Series Number 23, Tranche Number 1)Final Terms: Issue of U.S.$750,000,000 3.000 per cent. Notes due 2019 (Series Number 23, Tranche Number 1)Debt21/05/2014
ADIB SUKUK COMPANY LTD – U.S. $5,000,000,000 Trust Certificate Issuance Programme (17 April 2014)ADIB SUKUK COMPANY LTD – U.S. $5,000,000,000 Trust Certificate Issuance Programme (17 April 2014)Debt17/04/2014
ADIF-ALTA VELOCIDAD – €3,000,000,000 Euro Medium Term Note Programme (30 April 2014)ADIF-ALTA VELOCIDAD – €3,000,000,000 Euro Medium Term Note Programme (30 April 2014)Debt30/04/2014