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  Approved Prospectus - [Displaying results 61 - 80 of 3999]
 Issuer Name - DescriptionType of SecurityPublication Date
ALFA BOND ISSUANCE PLC - U.S. $5,000,000,000 Programme for the Issuance of Loan Participation Notes (13 November 2015)ALFA BOND ISSUANCE PLC - U.S. $5,000,000,000 Programme for the Issuance of Loan Participation Notes (13 November 2015)Debt13/11/2015
Final Terms: Issue of Series 3 U.S.$500,000,000 5.00 per cent. Loan Participation Notes due 2018 (Series number 3, Tranche number 1)Final Terms: Issue of Series 3 U.S.$500,000,000 5.00 per cent. Loan Participation Notes due 2018 (Series number 3, Tranche number 1)Debt03/12/2015
ALFA HOLDING ISSUANCE PLC – Series 3 RUB 1,767,741,712 Loan Participation Notes due 2018 (16 December 2015)ALFA HOLDING ISSUANCE PLC – Series 3 RUB 1,767,741,712 Loan Participation Notes due 2018 (16 December 2015)Debt16/12/2015
ALITALIA – SOCIETA AEREA ITALIANA S.P.A. - €375,000,000 5.250 per cent. Notes due 30 July 2020 (28 July 2015)ALITALIA – SOCIETA AEREA ITALIANA S.P.A. - €375,000,000 5.250 per cent. Notes due 30 July 2020 (28 July 2015)Debt28/07/2015
ALLIED IRISH BANKS PLC - €10,000,000,000 Euro Medium Term Note Programme (11 June 2015)ALLIED IRISH BANKS PLC - €10,000,000,000 Euro Medium Term Note Programme (11 June 2015)Debt11/06/2015
Final Terms: Issue of 750,000,000 Fixed Rate Resettable Subordinated (Tier 2) Notes due 2025 (Series number 119, Tranche number 1)Final Terms: Issue of 750,000,000 Fixed Rate Resettable Subordinated (Tier 2) Notes due 2025 (Series number 119, Tranche number 1)Debt01/12/2015
Supplement dated 18 November 2015Supplement dated 18 November 2015Debt18/11/2015
ALLIED IRISH BANKS, P.L.C. – €500,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write-Down Securities (01 December 2015)ALLIED IRISH BANKS, P.L.C. – €500,000,000 Fixed Rate Reset Additional Tier 1 Perpetual Contingent Temporary Write-Down Securities (01 December 2015)Debt01/12/2015
ALTERNATIFBANK A.S. - USD 300,000,000 Fixed Rate Resettable Tier 2 Notes due 2026 (14 April 2016)ALTERNATIFBANK A.S. - USD 300,000,000 Fixed Rate Resettable Tier 2 Notes due 2026 (14 April 2016)Debt14/04/2016
AMETHYST STRUCTURED FINANCE P.L.C. - €40,000,000,000 Programme for the issue of Notes (28 September 2015)AMETHYST STRUCTURED FINANCE P.L.C. - €40,000,000,000 Programme for the issue of Notes (28 September 2015)Debt28/09/2015
Final Terms: Issue of Series No. 2006-5 Tranche 4 EUR 40,680,000 Floating Rate Secured Senior Notes (Series Number 2006-5, Tranche Number 4)Final Terms: Issue of Series No. 2006-5 Tranche 4 EUR 40,680,000 Floating Rate Secured Senior Notes (Series Number 2006-5, Tranche Number 4)Debt22/03/2016
Final Terms:  Issue of Series No. 2015-28 Tranche 1 USD 80,000 Floating Rate Secured Senior Notes  (Series Number 2015-28, Tranche Number 1)Final Terms: Issue of Series No. 2015-28 Tranche 1 USD 80,000 Floating Rate Secured Senior Notes (Series Number 2015-28, Tranche Number 1)Debt08/10/2015
Final Terms:  Issue of Series No. 2007-19 Tranche 3 USD 58,088,000 Floating Rate Secured Senior Notes (Series Number 2007-19, Tranche Number 3)Final Terms: Issue of Series No. 2007-19 Tranche 3 USD 58,088,000 Floating Rate Secured Senior Notes (Series Number 2007-19, Tranche Number 3)Debt08/10/2015
Final Terms:  Issue of Series No. 2007-7 Tranche 3 USD 65,340,000 Floating Rate Secured Senior Notes (Series Number 2007-7, Tranche Number 3)Final Terms: Issue of Series No. 2007-7 Tranche 3 USD 65,340,000 Floating Rate Secured Senior Notes (Series Number 2007-7, Tranche Number 3)Debt08/10/2015
ANDORRA CAPITAL AGRICOL REIG, B.V. - €500,000,000 Euro Medium Term Note Programme (04 September 2015)ANDORRA CAPITAL AGRICOL REIG, B.V. - €500,000,000 Euro Medium Term Note Programme (04 September 2015)Debt04/09/2015
Final Terms: Issue of €10,000,000 Fixed Coupon Monthly Puttable Notes (Series Number 2, Tranche Number 1)Final Terms: Issue of €10,000,000 Fixed Coupon Monthly Puttable Notes (Series Number 2, Tranche Number 1)Debt06/05/2016
Final Terms: Issue of €50,000,000 Fixed Coupon Notes Guaranteed by Andorra Bane Agricol Reig, S.A. (Series number 1, Tranche number 1)Final Terms: Issue of €50,000,000 Fixed Coupon Notes Guaranteed by Andorra Bane Agricol Reig, S.A. (Series number 1, Tranche number 1)Debt13/04/2016
APICORP SUKUK LIMITED - U.S.$3,000,000,000 Trust Certificate Issuance Programme (29 June 2015)APICORP SUKUK LIMITED - U.S.$3,000,000,000 Trust Certificate Issuance Programme (29 June 2015)Debt29/06/2015
Final Terms: Issue of U.S.$500,000,000 2.383 per cent. Trust Certificates due 2020 (Series number 1, Tranche number 1)Final Terms: Issue of U.S.$500,000,000 2.383 per cent. Trust Certificates due 2020 (Series number 1, Tranche number 1)Debt09/11/2015
Supplement dated 28 September 2015Supplement dated 28 September 2015Debt28/09/2015