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Documents 20 05 2013 to 24 05 2013 POST TWO


IsinIssuerDoc. Date / Maturity DateDocument TypeInterest TypeListed
US48126DF380
JPMorgan Chase & Co
21/03/2013
25/09/2014
Term Sheet Index Linked Redemption Note
US48126DF463
JPMorgan Chase & Co
22/03/2013
30/04/2020
Term Sheet Index Linked Note
US48126DF539
JPMorgan Chase & Co
22/03/2013
30/03/2015
Term Sheet Equity Linked Note
US48126DF877
JPMorgan Chase & Co
22/03/2013
01/04/2015
Term Sheet Index Linked Redemption Note
US487836BK38
Kellogg Company
11/02/2013
13/02/2015
Pricing Sheet Floating Rate Note
US61761JBB44
Morgan Stanley
28/12/2012
31/01/2033
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JBC27
Morgan Stanley
28/12/2012
31/01/2033
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JBD00
Morgan Stanley
26/12/2012
30/12/2015
Preliminary/Indicative Term Sheet Fund Linked Redemption Note
US61761JBE82
Morgan Stanley
18/01/2013
25/01/2023
Preliminary/Indicative Term Sheet Index Linked Note
US61761JBF57
Morgan Stanley
09/01/2013
29/01/2014
Preliminary/Indicative Term Sheet Hybrid Redemption Note
US61761JBG31
Morgan Stanley
09/01/2013
29/01/2014
Preliminary/Indicative Term Sheet Hybrid Redemption Note
US61761JBH14
Morgan Stanley
08/01/2013
30/01/2020
Preliminary/Indicative Term Sheet Index Linked Note
US61761JBJ79
Morgan Stanley
09/01/2013
14/01/2028
Preliminary/Indicative Term Sheet Index Linked Note
US61761JBK43
Morgan Stanley
15/01/2013
28/01/2033
Preliminary/Indicative Term Sheet Index Linked Note
US61761JBL26
Morgan Stanley
16/01/2013
31/01/2018
Preliminary/Indicative Term Sheet Equity Linked Note
US61761JBM09
Morgan Stanley
16/01/2013
31/01/2018
Preliminary/Indicative Term Sheet Equity Linked Note
US61761JBN81
Morgan Stanley
16/01/2013
31/01/2028
Preliminary/Indicative Term Sheet Index Linked Note
US61761JBP30
Morgan Stanley
16/01/2013
31/01/2028
Preliminary/Indicative Term Sheet Index Linked Note
US61761JBQ13
Morgan Stanley
30/01/2013
28/01/2028
Pricing Supplement Index Linked Note
US61761JBS78
Morgan Stanley
23/01/2013
30/07/2014
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JBT51
Morgan Stanley
23/01/2013
12/02/2014
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JBV08
Morgan Stanley
31/01/2013
05/08/2014
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JBW80
Morgan Stanley
01/02/2013
15/02/2018
Preliminary/Indicative Term Sheet Equity Linked Note
US61761JBX63
Morgan Stanley
01/02/2013
15/02/2018
Preliminary/Indicative Term Sheet Equity Linked Note
US61761JBY47
Morgan Stanley
01/02/2013
15/02/2018
Preliminary/Indicative Term Sheet Equity Linked Note
US61761JBZ12
Morgan Stanley
01/02/2013
28/02/2033
Preliminary/Indicative Term Sheet Fixed Rate Note
US61761JCA51
Morgan Stanley
01/02/2013
28/02/2033
Preliminary/Indicative Term Sheet Index Linked Note
US61761JCB35
Morgan Stanley
01/02/2013
28/02/2033
Preliminary/Indicative Term Sheet Index Linked Note
US61761JCC18
Morgan Stanley
01/02/2013
28/08/2020
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JCD90
Morgan Stanley
01/02/2013
28/02/2018
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JCF49
Morgan Stanley
04/02/2013
28/02/2019
Preliminary/Indicative Term Sheet Index Linked Note
US61761JCG22
Morgan Stanley
05/02/2013
26/02/2014
Preliminary/Indicative Term Sheet Index Linked Note
US61761JCH05
Morgan Stanley
05/02/2013
26/02/2014
Preliminary/Indicative Term Sheet Index Linked Note
US61761JCJ60
Morgan Stanley
05/02/2013
26/02/2014
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JCK34
Morgan Stanley
05/02/2013
13/08/2014
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JCL17
Morgan Stanley
25/02/2013
28/02/2020
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JCN72
Morgan Stanley
06/02/2013
18/02/2033
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JCP21
Morgan Stanley
20/02/2013
27/02/2023
Pricing Supplement Index Linked Note
US61761JCQ04
Morgan Stanley
07/02/2013
13/08/2014
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JCR86
Morgan Stanley
08/02/2013
16/02/2023
Preliminary/Indicative Term Sheet Index Linked Note
US61761JCS69
Morgan Stanley
12/02/2013
15/08/2014
Preliminary/Indicative Term Sheet Index Linked Redemption Note
US61761JCU16
Morgan Stanley
14/02/2013
28/02/2028
Preliminary/Indicative Term Sheet Index Linked Note
US61761JCV98
Morgan Stanley
13/02/2013
28/02/2018
Preliminary/Indicative Term Sheet Equity Linked Note
US61761JCW71
Morgan Stanley
13/02/2013
28/02/2018
Preliminary/Indicative Term Sheet Equity Linked Note
US61761JCX54
Morgan Stanley
13/02/2013
29/02/2016
Preliminary/Indicative Term Sheet Equity Linked Note
US61761JCY38
Morgan Stanley
19/02/2013
22/02/2018
Pricing Supplement Index Linked Note
US61761JDA43
Morgan Stanley
14/02/2013
20/08/2014
Preliminary/Indicative Term Sheet Equity Linked Redemption Note
US61761JDB26
Morgan Stanley
14/02/2013
18/02/2033
Preliminary/Indicative Term Sheet Index Linked Note
US61761JDC09
Morgan Stanley
19/02/2013
22/08/2013
Preliminary/Indicative Term Sheet Equity Linked Redemption Note
US61761JDE64
Morgan Stanley
20/02/2013
20/02/2023
Preliminary/Indicative Term Sheet Index Linked Note
US61761JDH95
Morgan Stanley
27/02/2013
04/03/2015
Pricing Supplement Index Linked Redemption Note
US61761JDP12
Morgan Stanley
15/03/2013
20/03/2020
Pricing Supplement Index Linked Note
US61761M1852
Morgan Stanley
28/12/2012
03/07/2014
Pricing Supplement Fund Linked Redemption Note
US61761M1936
Morgan Stanley
03/01/2013
30/01/2015
Prospectus Index Linked Redemption Note
US61761M2017
Morgan Stanley
31/12/2012
02/01/2018
Preliminary/Indicative Term Sheet Hybrid Redemption Note
US61761M2199
Morgan Stanley
11/01/2013
16/01/2015
Pricing Supplement Equity Linked Note
US61761M2272
Morgan Stanley
07/01/2013
17/07/2015
Pricing Supplement Index Linked Redemption Note
US61761M2504
Morgan Stanley
07/01/2013
29/01/2021
Prospectus Index Linked Note
US61761M2686
Morgan Stanley
07/01/2013
29/01/2021
Prospectus Index Linked Note
US61761M2769
Morgan Stanley
30/01/2013
29/01/2015
Pricing Supplement Fund Linked Redemption Note
US61761M2843
Morgan Stanley
22/01/2013
25/01/2016
Pricing Supplement Equity Linked Note
US61761M2926
Morgan Stanley
22/01/2013
25/01/2016
Pricing Supplement Equity Linked Note
US61761M3189
Morgan Stanley
30/01/2013
30/01/2018
Pricing Supplement Index Linked Redemption Note
US61761M3262
Morgan Stanley
30/01/2013
29/01/2015
Pricing Supplement Index Linked Redemption Note
US61761M3346
Morgan Stanley
10/01/2013
24/01/2018
Prospectus Hybrid Redemption Note
US61761M3676
Morgan Stanley
23/01/2013
31/01/2018
Prospectus Equity Linked Note
US61761M3759
Morgan Stanley
23/01/2013
31/01/2018
Prospectus Equity Linked Note
US61761M3833
Morgan Stanley
23/01/2013
31/01/2018
Prospectus Equity Linked Note
US61761M3916
Morgan Stanley
31/01/2013
05/02/2014
Pricing Supplement Equity Linked Note
US61761M4096
Morgan Stanley
31/01/2013
05/02/2016
Pricing Supplement Equity Linked Note
US61761M4179
Morgan Stanley
31/01/2013
05/08/2015
Pricing Supplement Equity Linked Note
US61761M4252
Morgan Stanley
31/01/2013
06/02/2017
Pricing Supplement Index Linked Redemption Note
US61761M4336
Morgan Stanley
20/01/2013
07/02/2018
Prospectus Equity Linked Redemption Note
US61761M4419
Morgan Stanley
31/01/2013
05/02/2016
Pricing Supplement Equity Linked Note
US61761M4583
Morgan Stanley
01/02/2013
27/02/2015
Prospectus Index Linked Redemption Note
US61761M4666
Morgan Stanley
04/02/2013
28/02/2018
Prospectus Index Linked Note
US61761M4740
Morgan Stanley
05/02/2013
13/02/2014
Prospectus Equity Linked Note
US61761M4823
Morgan Stanley
05/02/2013
13/02/2014
Prospectus Equity Linked Note
US61761M4906
Morgan Stanley
05/02/2013
13/02/2014
Prospectus Equity Linked Note
US61761M5085
Morgan Stanley
05/02/2013
13/02/2014
Prospectus Equity Linked Note
US61761M5242
Morgan Stanley
15/02/2013
22/02/2016
Pricing Supplement Equity Linked Note
US61761M5325
Morgan Stanley
15/02/2013
22/02/2016
Pricing Supplement Equity Linked Note
US61761M5812
Morgan Stanley
25/02/2013
28/02/2014
Pricing Supplement Equity Linked Note
US61761M6158
Morgan Stanley
20/02/2013
28/02/2018
Prospectus Index Linked Note
US61761M6729
Morgan Stanley
15/03/2013
20/03/2014
Pricing Supplement Equity Linked Note
US61761M6802
Morgan Stanley
15/03/2013
21/03/2016
Pricing Supplement Equity Linked Note
US61761M6984
Morgan Stanley
28/03/2013
29/09/2015
Pricing Supplement Index Linked Redemption Note
US61761M7065
Morgan Stanley
28/03/2013
30/03/2016
Pricing Supplement Index Linked Redemption Note
US61761M7149
Morgan Stanley
28/03/2013
28/03/2018
Pricing Supplement Index Linked Redemption Note
US61761M7305
Morgan Stanley
13/03/2013
18/03/2016
Pricing Supplement Index Linked Redemption Note
US61761M7487
Morgan Stanley
15/03/2013
21/03/2016
Pricing Supplement Equity Linked Note
US61761M7552
Morgan Stanley
15/03/2013
21/03/2016
Pricing Supplement Equity Linked Note
US61761M7636
Morgan Stanley
15/03/2013
21/03/2016
Pricing Supplement Index Linked Redemption Note
US61761M7719
Morgan Stanley
28/03/2013
03/04/2014
Pricing Supplement Equity Linked Note
US61761M7891
Morgan Stanley
28/03/2013
01/04/2016
Pricing Supplement Equity Linked Note
US61761M7974
Morgan Stanley
19/03/2013
29/03/2018
Prospectus Index Linked Note
US61761M8055
Morgan Stanley
28/03/2013
04/04/2016
Pricing Supplement Equity Linked Note
US61761M8212
Morgan Stanley
19/04/2013
24/04/2014
Pricing Supplement Equity Linked Note
US61761M8394
Morgan Stanley
19/04/2013
24/04/2014
Pricing Supplement Equity Linked Note
US61762E1174
Morgan Stanley
02/04/2013
30/04/2015
Prospectus Index Linked Redemption Note
US61762E1257
Morgan Stanley
02/04/2013
30/10/2015
Prospectus Index Linked Redemption Note
US61762E1331
Morgan Stanley
03/04/2013
29/04/2016
Prospectus Fund Linked Redemption Note
US61762E1414
Morgan Stanley
15/04/2013
18/04/2016
Pricing Supplement Equity Linked Note
US61762E1588
Morgan Stanley
12/04/2013
17/04/2015
Pricing Supplement Index Linked Redemption Note
US61762E1661
Morgan Stanley
15/04/2013
30/04/2018
Prospectus Hybrid Redemption Note
US620076BC25
Motorola Solutions Inc
25/02/2013
01/03/2023
Final Terms Fixed Rate Note
US626717AE26
Murphy Oil Corporation
27/11/2012
01/12/2017
Term Sheet Fixed Rate Note
US629491AB74
NYSE Euronext Inc
01/10/2012
05/10/2017
Final Terms Fixed Rate Note
US636180BL49
National Fuel Gas Company
12/02/2013
01/03/2023
Final Terms Fixed Rate Note
US637071AJ02
National Oilwell Varco Inc
15/11/2012
01/12/2017
Term Sheet Fixed Rate Note
US637071AK74
National Oilwell Varco Inc
15/11/2012
01/12/2022
Term Sheet Fixed Rate Note
US637071AL57
National Oilwell Varco Inc
15/11/2012
01/12/2014
Term Sheet Fixed Rate Note
US637417AF33
National Retail Properties Inc
09/04/2013
15/04/2023
Final Terms Fixed Rate Note
US637432MT91
National Rural Utilities Cooperative Finance Corporation
18/04/2013
30/04/2043
Final Terms Fixed/Floating Rate Note
US63743HEE80
National Rural Utilities Cooperative Finance Corporation
17/01/2013
18/02/2014
Term Sheet Floating Rate Note
US64110DAC83
Netapp Inc
05/12/2012
15/12/2017
Term Sheet Fixed Rate Note
US64110DAD66
Netapp Inc
05/12/2012
15/12/2022
Term Sheet Fixed Rate Note
US65339K8861
NextEra Energy Capital Holdings Inc
15/01/2013
15/01/2073
Term Sheet Fixed Rate Note
US65339KAF75
NextEra Energy Capital Holdings Inc
18/09/2012
01/06/2015
Term Sheet Fixed Rate Note
US654106AC78
Nike Inc
23/04/2013
01/05/2023
Final Terms Fixed Rate Note
US654106AD51
Nike Inc
23/04/2013
01/05/2043
Final Terms Fixed Rate Note
US65473QBC69
NiSource Finance Corporation
09/04/2013
15/02/2044
Term Sheet Fixed Rate Note
US665789AX16
Northern States Power Company
02/10/2012
01/10/2042
Prospectus Fixed Rate Note
US67021CAG24
Nstar Electric Company
09/10/2012
15/10/2022
Term Sheet Fixed Rate Note
US67059T2042
NuStar Logistics LP
14/01/2013
15/01/2043
Final Terms Fixed/Floating Rate Note
US677050AJ52
Oglethorpe Power Corporation
27/11/2012
01/12/2042
Term Sheet Fixed Rate Note
US68245JAB61
OneBeacon US Holdings Inc
06/11/2012
09/11/2022
Term Sheet Fixed Rate Note
US683234C556
Ontario, Province of
07/02/2013
14/02/2018
Final Terms Fixed Rate Note Luxembourg Stock Exchange
US68323ABS24
Ontario, Province of
31/01/2013
13/08/2015
Final Terms Floating Rate Note Luxembourg Stock Exchange
US68323TAB98
Ontario, Province of
15/11/2012
23/11/2017
Final Terms Floating Rate Note
US690742AD30
Owens Corning
17/10/2012
15/12/2022
Term Sheet Fixed Rate Note
US693475AL94
PNC Financial Services Group Inc
01/11/2012
09/11/2022
Term Sheet Fixed Rate Note
US69352P2020
PPL Capital Funding Inc
12/03/2013
30/04/2073
Final Terms Fixed Rate Note New York Stock Exchange
US69352PAE34
PPL Capital Funding Inc
10/10/2012
01/12/2022
Term Sheet Fixed Rate Note
US693656AA80
PVH Corporation
06/12/2012
15/12/2022
Pricing Supplement Fixed Rate Note
US69371RL202
PACCAR Financial Corporation
05/02/2013
08/02/2016
Final Terms Fixed Rate Note
US69371RL384
PACCAR Financial Corporation
05/02/2013
08/02/2016
Final Terms Floating Rate Note
US698299BB98
Panama, Republic of
22/04/2013
29/04/2053
Final Terms Fixed Rate Note Luxembourg Stock Exchange
US712704AA31
People's United Financial Inc
03/12/2012
06/12/2022
Term Sheet Fixed Rate Note
US713448CE67
PepsiCo Inc
25/02/2013
26/02/2016
Prospectus Floating Rate Note
US713448CF33
PepsiCo Inc
25/02/2013
26/02/2016
Prospectus Fixed Rate Note
US713448CG16
PepsiCo Inc
25/02/2013
01/03/2023
Prospectus Fixed Rate Note
US718172AV10
Philip Morris International Inc
26/02/2013
26/02/2015
Term Sheet Floating Rate Note New York Stock Exchange
US718172AW92
Philip Morris International Inc
26/02/2013
06/03/2023
Term Sheet Fixed Rate Note New York Stock Exchange
US718172AX75
Philip Morris International Inc
26/02/2013
04/03/2014
Term Sheet Fixed Rate Note New York Stock Exchange
US718286BX44
Philippines, Republic of
08/11/2012
26/11/2022
Final Terms Fixed Rate Note
US7244794076
Pitney Bowes Inc
19/11/2012
27/11/2022
Term Sheet Fixed Rate Note
US7244795065
Pitney Bowes Inc
26/02/2013
07/03/2043
Term Sheet Fixed Rate Note New York Stock Exchange
US726505AN03
Plains Exploration & Productions Company
23/10/2012
15/11/2020
Term Sheet Fixed Rate Note
US726505AP50
Plains Exploration & Productions Company
23/10/2012
15/02/2023
Term Sheet Fixed Rate Note
US72650RBB78
Plains All American Pipeline LP
03/12/2012
31/01/2023
Term Sheet Fixed Rate Note
US72650RBC51
Plains All American Pipeline LP
03/12/2012
31/01/2043
Term Sheet Fixed Rate Note
US72925PAD78
Plum Creek Timberlands LP
14/11/2012
15/03/2023
Term Sheet Fixed Rate Note
US737415AL35
Post Apartment Homes LP
02/11/2012
01/12/2022
Term Sheet Fixed Rate Note
US737679DE73
Potomac Electric Power Company
11/03/2013
15/03/2043
Term Sheet Fixed Rate Note
US74005PBC77
Praxair Inc
02/11/2012
07/11/2017
Final Terms Fixed Rate Note
US74005PBD50
Praxair Inc
29/04/2013
07/11/2042
Final Terms Fixed Rate Note
US74005PBD50
Praxair Inc
02/11/2012
07/11/2042
Final Terms Fixed Rate Note
US90271C3530
UBS AG, London branch
26/04/2013
05/05/2016
Summary Equity Linked Note
US90271C3795
UBS AG, London branch
26/04/2013
05/05/2016
Summary Equity Linked Note
US90345WAD65
US Airways Inc
29/11/2012
03/06/2021
Pricing Supplement Fixed Rate Certificate
US90345WAE49
US Airways Inc
29/11/2012
03/06/2021
Pricing Supplement Fixed Rate Certificate
US907818DN57
Union Pacific Corporation
12/03/2013
15/04/2023
Pricing Sheet Fixed Rate Note
US911365AX24
United Rentals (North America) Inc
25/10/2012
15/06/2023
Pricing Sheet Fixed Rate Note
US912909AH17
United States Steel Corporation
20/03/2013
01/04/2019
Pricing Sheet Fixed Rate Note
US912909AJ72
United States Steel Corporation
20/03/2013
01/04/2021
Pricing Sheet Fixed Rate Note
US91324PBX96
UnitedHealth Group Inc
17/10/2012
15/10/2015
Final Termsheet Fixed Rate Note
US91324PBY79
UnitedHealth Group Inc
17/10/2012
15/10/2017
Final Termsheet Fixed Rate Note
US91324PBZ45
UnitedHealth Group Inc
17/10/2012
15/02/2023
Final Termsheet Fixed Rate Note
US91324PCA84
UnitedHealth Group Inc
17/10/2012
15/10/2042
Final Termsheet Fixed Rate Note
US91324PCE07
UnitedHealth Group Inc
25/02/2013
28/08/2014
Final Termsheet Floating Rate Note
XS0890631913
Palladium Securities 1 SA
04/04/2013
17/04/2023
Final Terms Floating Rate Note Luxembourg Stock Exchange
XS0890819120
dbInvestor Solutions PLC
11/03/2013
20/03/2019
Final Terms Floating Rate Note Luxembourg Stock Exchange
XS0891145863
Banca IMI S.p.A.
25/02/2013
26/04/2017
Final Terms Index Linked Certificate Luxembourg Stock Exchange
XS0891653262
Commerzbank AG
21/03/2013
21/03/2016
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0891667486
Banca IMI S.p.A.
15/03/2013
30/04/2019
Final Terms Fixed/Index Linked Note Luxembourg Stock Exchange
XS0907291016
Reseau Ferre de France
30/04/2013
07/10/2026
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0907318074
Morgan Stanley
02/04/2013
02/04/2018
Final Terms Index Linked Redemption Note London Stock Exchange
XS0907930399
Banco BTG Pactual SA
11/04/2013
26/03/2016
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0908160988
Morgan Stanley BV
02/04/2013
31/03/2014
Final Terms Commodity Linked Redemption Note London Stock Exchange
XS0908380248
Commerzbank AG
12/04/2013
14/04/2014
Final Terms Equity Linked Redemption Note Luxembourg Stock Exchange
XS0908516080
Takko Luxembourg 2SCA
07/05/2013
15/04/2019
Offering Memorandum Fixed Rate Note Luxembourg Stock Exchange
XS0908516320
Takko Luxembourg 2SCA
07/05/2013
15/04/2019
Offering Memorandum Floating Rate Note Luxembourg Stock Exchange
XS0908538720
HSBC Bank PLC
28/03/2013
01/04/2019
Final Terms Equity Linked Redemption Note London Stock Exchange
XS0908566770
HSBC Bank PLC
28/03/2013
03/04/2017
Final Terms Equity Linked Redemption Note London Stock Exchange
XS0908665168
Morgan Stanley BV
15/04/2013
29/04/2019
Final Terms Index Linked Note London Stock Exchange
XS0908786030
Danske Bank A/S
20/03/2013
22/03/2017
Final Terms Floating Rate Note Irish Stock Exchange
XS0908824732
HSBC Bank PLC
28/03/2013
02/04/2015
Final Terms Variable Rate Note London Stock Exchange
XS0909306481
HSBC Bank PLC
12/04/2013
04/04/2014
Final Terms Index Linked Redemption Note London Stock Exchange
XS0909331240
Takko Luxembourg 2SCA
07/05/2013
15/04/2019
Offering Memorandum Fixed Rate Note Luxembourg Stock Exchange
XS0909468117
National Australia Bank Ltd
24/04/2013
03/04/2018
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0909491366
HSBC Bank PLC
04/04/2013
03/04/2017
Final Terms Equity Linked Redemption Note London Stock Exchange
XS0909751702
Morgan Stanley BV
03/04/2013
03/04/2018
Final Terms Equity Linked Redemption Note London Stock Exchange
XS0909763624
Australia & New Zealand Banking Group Ltd
27/03/2013
03/04/2043
Final Terms Zero Coupon Note London Stock Exchange
XS0909773425
Merrill Lynch International & Co CV
11/04/2013
11/04/2018
Final Terms Index Linked Certificate Luxembourg Stock Exchange
XS0909782764
Permanent Master Issuer PLC
04/04/2013
15/07/2042
Final Terms Floating Rate Note London Stock Exchange
XS0909783143
Permanent Master Issuer PLC
04/04/2013
15/07/2042
Final Terms Floating Rate Note London Stock Exchange
XS0909796988
Morgan Stanley BV
09/04/2013
29/03/2016
Final Terms Index Linked Redemption Note London Stock Exchange
XS0909814393
HSBC Bank Middle East Ltd
03/04/2013
20/06/2018
Final Terms Floating Rate Note London Stock Exchange
XS0909837170
BNP Paribas Arbitrage Issuance BV
28/03/2013
24/05/2018
Final Terms Index Linked Redemption Note Luxembourg Stock Exchange
XS0909850785
Codeis Securities SA
12/04/2013
15/04/2014
Final Terms Fund Linked Redemption Note Luxembourg Stock Exchange
XS0909954132
Natixis
11/04/2013
15/07/2014
Final Terms Index Linked Redemption Note Luxembourg Stock Exchange
XS0909966144
Bank of Montreal
28/03/2013
03/04/2043
Final Terms Zero Coupon Note London Stock Exchange
XS0910489060
Morgan Stanley
12/04/2013
05/04/2016
Final Terms Index Linked Redemption Note London Stock Exchange
XS0910508034
Morgan Stanley BV
28/03/2013
24/04/2023
Final Terms Inflation Linked Note London Stock Exchange
XS0910529386
Leaseplan Corporation NV
03/04/2013
05/04/2016
Final Terms Floating Rate Note Luxembourg Stock Exchange
XS0910879286
HSBC Bank PLC
04/04/2013
07/04/2014
Final Terms Equity Linked Redemption Note London Stock Exchange
XS0910898740
Compagnie Financiere Edmond de Rothschild Banque
22/04/2013
22/04/2016
Final Terms Index Linked Redemption Note Luxembourg Stock Exchange
XS0910945251
KBC IFIMA NV - KBC Internationale Financieringsmaatschappij NV
03/04/2013
08/05/2018
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0910945335
KBC IFIMA NV - KBC Internationale Financieringsmaatschappij NV
03/04/2013
08/05/2015
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0911296126
Skandinaviska Enskilda Banken AB (publ) - SEB
16/04/2013
15/07/2018
Final Terms Floating Rate Note London Stock Exchange
XS0911297017
Credit Suisse AG, Nassau branch
16/04/2013
12/04/2016
Final Terms Distribution Note Luxembourg Stock Exchange
XS0911793189
HSBC Bank PLC
11/04/2013
13/04/2015
Final Terms Equity Linked Redemption Note London Stock Exchange
XS0911800141
BNP Paribas SA
18/04/2013
05/07/2018
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0912071411
Skandinaviska Enskilda Banken AB (publ) - SEB
16/04/2013
15/07/2018
Final Terms Floating Rate Note London Stock Exchange
XS0912159265
HSBC Bank PLC
09/04/2013
10/07/2013
Final Terms Fixed Rate Note London Stock Exchange
XS0912259644
HSBC Bank PLC
09/04/2013
10/04/2017
Final Terms Variable Rate Note London Stock Exchange
XS0912944609
VTB Capital PLC
15/04/2013
15/04/2014
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0913026240
Banca IMI S.p.A.
11/04/2013
09/05/2016
Final Terms Index Linked Certificate Luxembourg Stock Exchange
XS0914294623
Landeskreditbank Baden-Wuerttemberg Foerderbank
08/05/2013
15/12/2017
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0914316707
NRW.Bank
17/04/2013
17/04/2038
Final Terms Zero Coupon Note Luxembourg Stock Exchange
XS0914394928
Natixis
18/04/2013
19/04/2033
Final Terms Zero Coupon Note Luxembourg Stock Exchange
XS0914668057
UBS AG, Jersey branch
17/04/2013
18/07/2014
Final Terms Index Linked Redemption Note Luxembourg Stock Exchange
XS0914801070
DNB Bank ASA
16/04/2013
18/04/2023
Final Terms CMS Linked Redemption Note Luxembourg Stock Exchange
XS0915171325
Credit Industriel et Commercial
04/04/2013
12/04/2016
Final Terms Fixed/Floating Rate Note Luxembourg Stock Exchange
XS0915174774
ING Bank NV
12/04/2013
01/04/2021
Final Terms Floating Rate Note Luxembourg Stock Exchange
XS0915322985
Sparebanken Vest
11/04/2013
15/04/2015
Final Terms Floating Rate Note Luxembourg Stock Exchange
XS0915510712
FMS Wertmanagement
11/04/2013
15/04/2016
Final Terms Floating Rate Note Luxembourg Stock Exchange
XS0915651888
RCI Banque SA
12/04/2013
16/04/2018
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0915809007
ING Bank NV
25/04/2013
25/04/2016
Final Terms Index Linked Redemption Note Luxembourg Stock Exchange
XS0916246050
Volkswagen International Finance NV
11/04/2013
15/04/2014
Final Terms Floating Rate Note Luxembourg Stock Exchange
XS0916345621
Heineken NV
11/04/2013
15/04/2033
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0916738866
Credit Suisse AG, London branch
03/05/2013
03/05/2019
Final Terms Equity Linked Redemption Note Luxembourg Stock Exchange
XS0916738940
Credit Suisse AG, London branch
03/05/2013
03/05/2019
Final Terms Equity Linked Redemption Note Luxembourg Stock Exchange
XS0916995599
BTG Investments LP
08/05/2013
17/04/2018
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0917011628
BTG Investments LP
08/05/2013
17/04/2018
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0918163691
BNP Paribas SA
30/04/2013
30/04/2021
Final Terms CMS Linked Note Luxembourg Stock Exchange
XS0918615690
North Rhine-Westphalia, Federal State of
25/04/2013
28/04/2017
Final Terms Floating Rate Note Luxembourg Stock Exchange
XS0919045350
ING Bank NV
29/04/2013
01/03/2016
Securities Note Fixed Rate Note Luxembourg Stock Exchange
XS0920313813
Natixis Structured Products Ltd
25/04/2013
05/07/2013
Final Terms Index Linked Redemption Note Luxembourg Stock Exchange
XS0920314118
Natixis Structured Products Ltd
25/04/2013
05/07/2013
Final Terms Index Linked Redemption Note Luxembourg Stock Exchange
XS0920375259
Credit Suisse AG, Nassau branch
29/04/2013
22/04/2016
Final Terms Distribution Note Luxembourg Stock Exchange
XS0920905311
Credit Industriel et Commercial
19/04/2013
20/06/2015
Final Terms Credit Linked Note Luxembourg Stock Exchange
XS0921229992
Citigroup Inc
25/04/2013
02/05/2023
Final Terms Index Linked Redemption Note Luxembourg Stock Exchange
XS0921725460
International Bank for Reconstruction and Development
25/04/2013
30/04/2014
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0921844121
Nederlandse Waterschapsbank NV
08/05/2013
27/10/2014
Final Terms Floating Rate Note Luxembourg Stock Exchange
XS0922256580
Wind Acquisition Finance SA
02/05/2013
30/04/2020
Offering Memorandum Fixed Rate Note Luxembourg Stock Exchange
XS0922261820
Wind Acquisition Finance SA
02/05/2013
30/04/2019
Offering Memorandum Floating Rate Note Luxembourg Stock Exchange
XS0922869838
Credit Industriel et Commercial
15/04/2013
29/10/2014
Final Terms Fixed Rate Note Luxembourg Stock Exchange
XS0923310329
BNP Paribas SA
03/05/2013
03/05/2023
Final Terms Index Linked Note Luxembourg Stock Exchange

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