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Issuer/Programme
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GBP2,000,000,000 Global Collateralised Structured Securities Programme
US$20,000,000,000 Credit Linked Note Programme
$30,000,000,000 GLOBAL COLLATERALISED MEDIUM TERM NOTES
GSSP Base Prospectus 6
GSSP BASE PROSPECTUS 9
GSSP Base Prospectus 1B
GSSP Base Prospectus 1
Global Collateralised Structured Securities Programme
Global Structured Securities Programme (approved in Switzerland under FinSA)
Global Collateralised Structured Securities Programme No. 2
Securities
Select All
Class 11492 Class VF Issue of €300,000,000 Fixed Rate Notes due December 2025
NX000248465 Issue of EUR 37,500,000.00 Securities due May 2030 under the Global Structured Securities
S - MarketGrader Account Linked Notes due 10 January 2025
S - Series NX000233719 EUR 2,700,000 Fixed Rate Credit Linked Notes due 2026
Series 2007-M Elex Alpha Principal Protected Notes Turbo - Series 2007-M
Series 2021-1 Issue of USD 360,000,000 Series 2021-1 Collateralised Securities due 2023
Series 2021-2 Issue of USD 365,400,000 Series 2021-2 Collateralised Securities due 2023
Series 11492 $160,500,000 Class AAY Fixed Rate Notes due December 2023
Series 11492 $330,000,000 Class ABD Fixed Rate Notes due December 2023
Series 11492 $385,000,000 Class AAZ Fixed Rate Notes due December 2023
Series 11492 $525,000,000 Class ABA Fixed Rate Notes due December 2023
Series 11492 - Class UD €150,000,000 Class UD Fixed Rate Notes due 18 December 2025
Series 11492 Class OV Issue of EUR216,000,000 Class OV Fixed Rate due 22 December 2025
Series 11492 Class SU Issue of €200,000,000 Class SU Fixed Rate Notes due 19 December 2025
Series 11492 Class SY Issue of €250,000,000 Class SY Fixed Rate Notes due 22 December 2025
Series 11492 Class TD Issue of €350,000,000 Class TD Fixed Rate Notes due 17 December 2025
Series 11492 Class TL Issue of £500,000,000 Class TL Fixed Rate Notes due June 2025
Series 11492 Class UB Issue of €150,000,000 Fixed Rate Notes due December 2025
Series 11492 Class UN Issue of $548,200,000 Class UN Fixed Rate Notes due November 2025
Series 11492 Class UO Issue of $550,000,000 Class UO Fixed Rate Notes due December 2025
Series 11492 Class VA €300,000,000 Fixed Rate Notes due December 2025
Series 11492 Class VE Issue of €300,000,000 Fixed Rate Notes due December 2025
Series 11492 Class VH Issue of €216,400,000 Class VH Fixed Rate Notes due 15 December 2025
Series 11492 Class VO Issue of €108,700,000 Fixed Rate Notes due December 2025
Series 11492 Class VP Issue of €54,400,000 Class VP Fixed Rate Notes due December 2025
Series 11492 Class VP Issue of €180,000,000 Fixed Rate Notes due December 2025
Series 11492 Class WF €500,000,000 Class WF Fixed Rate Notes due December 2025
Series 11492 Class XZ Issue of €500,000,000 Class XZ Fixed Rate Notes due September 2023
Series 11492 Class YB Issue of €100,000,000 Class YB Fixed Rate Notes due December 2025
Series 11492 Class YD €250,000,000 Class YD Fixed Rate Notes due December 2025
Series 11492 Class YI €150,000,000 Class YI Fixed Rate Notes due December 2025
Series 11492 Class YL €100,000,000 Class YL Fixed Rate Notes due December 2025
Series 11492 Class YX Issue of €330,000,000 Class YX Fixed Rate Notes due July 2023 (Series 11492 Class YX)
Series 11492 Issue of $400,000,000 Class AAR Fixed Rate Notes due September 2023
Series 11492 Issue of EUR 150,000,000 Class AAI Fixed Rate Notes due July 2023
Series 11492 Issue of USD 525,000,000 Class AAB Fixed Rate Notes due March 2023
Series 11492 Issue of €150,000,000 Class AAV Floating Rate Notes due November 2023
Series 11492 Issue of €200,000,000 Class SM Fixed Rate Notes due 23 December 2025
Series 11492 Issue of €300,000,000 Class TQ Fixed Rate Notes due December 2025
Series 11492 Issue of €416,000,000 Class AAO Floating Rate Notes due August 2023
Series 11492 Issue of €640,000,000 Class AAS Floating Rate Notes due September 2023
Series 11492 €300,000,000 Class AAP Fixed Rate Notes due August 2023
Series 11492, Class UP Issue of $500,000,000 Class UP Fixed Rate Notes due December 2025
Series 11492, Class VX Issue of €17,600,000 Fixed Rate Notes due November 2025
Series 11492, Class VX Issue of €100,000,000 Class VX Fixed Rate Notes due November 2025
Series 11492, Class WB Issue of €300,000,000 Class WB Fixed Rate Notes due February 2023
Series 11492, Class YA Issue of €150,000,000 Class YA Fixed Rate Notes due December 2025
Series 11492, Class YC Issue of €250,000,000 Class YC Fixed Rate Notes due December 2025
Series 11492, Class YE Issue of €250,000,000 Class YE Fixed Rate Notes due December 2025
Series 11492, Class YF Issue of €250,000,000 Class YF Fixed Rate Notes due December 2025
Series 11492, Class YJ Issue of €137,700,000 Class YJ Fixed Rate Notes due December 2025
Series 11492, Class YK Issue of €100,000,000 Class YK Fixed Rate Notes due December 2025
Series NX000215660 Issue of 10 Warrants due 23rd December 2024
Series NX000218871 Issue of 10 Warrants due 5 September 2024
Series NX000221728 Issue of 10 Warrants due 13 November 2023
Series NX000221819 Issue of 10 Warrants due 14 November 2024
Series NX000225679 Issue of EUR 5,000,000 Fixed Rate Securities due 18 March 2039
Series NX000226278 Issue of 10 Warrants due 28 March 2025
Series NX000226344 EUR 130,000,000 Fixed Rate to Forward CMS-Linked Securities, due 12 April 2039
Series NX000227262 Issue of 10 Warrants due 29 April 2025.
Series NX000227501 Issue of 10 Warrants due 24 April 2025
Series NX000227589 Issue of 10 Warrants due 29 April 2025
Series NX000228090 Issue of 10 Warrants due 2 May 2025
Series NX000228325 Issue of 10 Warrants due 08 May 2026
Series NX000228422 Issue of 10 Warrants due 2 May 2025 (Series NX000228422)
Series NX000228687 Issue of 10 Warrants due 21 May 2026
Series NX000228748 Issue of 10 Warrants due 15 May 2025
Series NX000229459 EUR 51,000,000 Fixed Rate to Constant Maturity Swap Rate Securities, due 12 June 2034
Series NX000230171 Series NX000230171 EUR 50,000,000 Constant Maturity Swap Rate - Linked Securities, due 26 June 2031
Series NX000230204 EUR 65,000,000 Floating Rate Securities due June 2024 pursuant to the Global Structured
Series NX000232567 10 Warrants due July 2025 ("Tranche 1")
Series NX000234908 TRY 152,614,000 Securities due September 2025
Series NX000238201 EUR 3,000,000 Floating Rate Securities due November 2029
Series NX000239221 10 Warrants due December 2025
Series NX000241625 EUR 15,000,000 Securities due March 2030
Series NX000242218 Issue of PLN 32,300,000 Securities due January 2025
Series NX000244240 10 Warrants due February 2026
Series NX000247542 Issue of EUR 2,200,000 Securities due May 2030
Series NX000248481 EUR 11,000,000 Securities due November 2024
Series NX000249232 Issue of EUR 15,000,000.00 Securities due July 2025
Series NX000249943 EUR 7,127,000 Securities due June 2023
Series NX000250034 Issue of EUR 18,000,000 Securities due June 2024
Series NX000250641 EUR 4,617,000 Securities due June 2023
Series NX000252463 Issue of USD 4,986,000 Securities due August 2025
Series NX000252925 USD 275,000,000 Securities due June 2024
Series NX000253381 Issue of Up to EUR 20,000,000 Securities due September 2025
Series NX000256048 CZK 495,000,000 Securities due June 2025 under the Global Structured Securities Programme
Series NX000257644 Issue of GBP 3,673,000 Securities due September 2030
Series NX000258978 Issue of GBP 1,320,000 Securities due October 2030
Series NX000260533 Issue of USD 6,000,000 Securities due November 2030
Series NX000262938 Issue of EUR 17,000,000 Securities due December 2025 under the Global Structured Securities Programme
Series NX000264511 Issue of Up to EUR 7,000,000 Securities due February 2031
Series NX000269411 Issue of EUR 3,500,000 Securities due March 2026
Series NX000272965 Issue of EUR 15,000,000 Securities due February 2041
Series NX000275229 EUR 2,000,000 Securities due March 2031 under the Global Structured Securities Programme
Series NX000275541 Issue of EUR 15,000,000 Securities due June 2031 under the Global Structured Securities Programme
Series NX000277336 Issue of USD 4,500,000 Securities due May 2026
Series NX000278028 Issue of EUR 11,100,000 Securities due May 2026
Series NX000278311 Issue of EUR 20,000,000 Securities due May 2031
Series NX000278954 EUR 2,000,000 Securities due May 2026
Series NX000282197 EUR 90,000,000 Securities due April 2031 pursuant to the Global Structured Securities
Series NX000285857 Issue of EUR 10,000,000 Securities due August 2024
Series NX000287324 Issue of USD 7,000,000 Securities due July 2031 under the Global Structured Securities
Series NX000290710 Issue of EUR 1,500,000 Securities due July 2026
Series NX000292196 Issue of EUR 11,500,000 Securities due August 2026
Series NX000292464 Issue of USD 3,000,000 Securities due September 2026
Series NX000298807 Issue of EUR 1,100,000 Securities due October 2026
Series NX000300054 Issue of 8,600,000 Securities due November 2026
Series NX000304361 Issue of EUR 2,500,000 Securities due December 2024
Series NX000306947 Issue of EUR 1,100,000 Securities due November 2026
Series NX000308039 Issue of EUR 10,000,000 Securities due February 2032
Series NX000311648 Issue of USD 1,000,000 Securities due February 2025
Series NX000311918 Issue of EUR 3,500,000 Securities due February 2025
Series NX000326499 Issue of EUR850,000 Securities due April 2027
Series NX00219484 Issue of USD 4,000,000 Worst of Autocallable Notes due 28 September 2026
Series NX00271562 EUR 1,200,000 Worst of Quanto Autocallable Barrier Reverse Convertible Notes due February 2025
Series NX00272540 EUR 1,158,000 Quanto Autocallable Barrier Reverse Convertible Notes due February 2026
Series NX00272706 EUR 1,158,000 Autocallable Barrier Reverse Convertible Notes due February 2026
Series NX00274256 USD 2,100,000 Worst-of Quanto Autocallable Reverse Convertible Notes due February 2024
Series NX00274600 USD 2,280,000 Autocallable Barrier Reverse Convertible Notes due February 2026
Series NX00274603 EUR 1,500,000 Worst of Autocallable Reverse Convertible Notes due February 2024
Series NX00274604 EUR 2,500,000 Worst-of Autocallable Reverse Convertible Notes due February 2024
Series NX00279382 EUR 3,000,000 Autocallable Barrier Reverse Convertible Notes due March 2024
Series NX00279383 EUR 3,000,000 Autocallable Barrier Reverse Convertible Notes due March 2024.
Series NX00279936 EUR 2,350,000 Worst-of Quanto Autocallable Reverse Convertible Notes due March 2024
Series NX00283107 EUR 2,500,000 Quanto Autocallable Reverse Convertible Notes due April 2024
Series NX00283328 USD 3,100,000 Autocallable Reverse Convertible Notes due April 2023
Series NX00285002 USD 1,150,000 Autocallable Reverse Convertible Notes due April 2024
Series NX00293915 EUR 2,230,000 Autocallable Barrier Reverse Convertible Notes due June 2023
Series NX00293917 EUR 2,270,000 Autocallable Barrier Reverse Convertible Notes due June 2023
Series NX00303384 USD 2,350,000 Worst-of Quanto Autocallable Reverse Convertible Notes due September 2024
Series NX00306131 EUR 5,000,000 Worst-of Autocallable Reverse Convertible Notes due September 2023
Series NX00306145 EUR 2,100,000 Worst-of Quanto Autocallable Reverse Convertible Notes due September 2023
Series NX00306146 USD 5,000,000 Worst of Quanto Autocallable Reverse Convertible Notes due September 2023
Series NX00309803 Issue of EUR 3,000,000 Securities due December 2026
Series NX00311393 USD 2,100,000 Worst of Quanto Autocallable Reverse Convertible Notes due November 2024
Series NX00311625 USD 2,250,000 Worst-of Quanto Autocallable Reverse Convertible Notes due November 2023
Series NX00320845 Issue of EUR 12,600,000 Securities due April 2027
Series NX00321304 Issue of EUR 1,906,000 Securities due September 2027
Series NX00326100 Issue of 6,000,000 Securities due June 2027
Series NX00326452 Issue of EUR 700,000 Securities due April 2027
Series NX00327192 Issue of USD 70,000,000 Fixed Coupon Callable Notes due April 2032
Series NX00327642 Issue of 63,988,000 Securities due May 2025
Series NX00328497 USD 2,150,000 Worst of Quanto Autocallable Reverse Convertible Notes due April 2025
Series NX00329170 Issue of EUR 34,674,000 Securities due June 2027
Series NX00329278 EUR 40,000,000 Securities due April 2024
Series NX00333927 EUR 300,000 Autocallable Notes due August 2027
Series NX00336395 Issue of EUR 27,000,000 Securities due October 2027
Series NX00338666 Issue of EUR 28,995,000 Securities due November 2027
Series NX00339604 EUR 1,700,000European Barrier Autocallable Securities due December 2027
Series NX00341392 issue of EUR 6,605,000 Securities due May 2028
Series NX00342937 Issue of EUR 30,000,000 Securities due December 2027
Series NX00343304 Issue of EUR 6,070,000 Securities due June 2028
Series NX00343770 Issue of EUR 8,283,000 Securities due December 2027
Series NX00345672 Issue of EUR 2,958,000 Securities due July 2028 under the Global Structured Securities Programme
Series NX00345685 EUR 18,500,000 European Barrier Autocallable Securities due February 2028
Series NX00346695 Issue of EUR 23,000,000 Securities due January 2028 under the Global Structured Securities
Series NX00348637 Issue of EUR 1,000,000 Autocallable Barrier Reverse Convertible Notes due January 2024
Series XS000215478 Issue of 10 Warrants due 25 June 2025
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ISSUER/PROGRAMME
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GBP2,000,000,000 Global Collateralised Structured Securities Programme
US$20,000,000,000 Credit Linked Note Programme
$30,000,000,000 GLOBAL COLLATERALISED MEDIUM TERM NOTES
GSSP Base Prospectus 6
GSSP BASE PROSPECTUS 9
GSSP Base Prospectus 1B
GSSP Base Prospectus 1
Global Collateralised Structured Securities Programme
Global Structured Securities Programme (approved in Switzerland under FinSA)
Global Collateralised Structured Securities Programme No. 2
SECURITIES
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Select All
Class 11492 Class VF Issue of €300,000,000 Fixed Rate Notes due December 2025
NX000248465 Issue of EUR 37,500,000.00 Securities due May 2030 under the Global Structured Securities
S - MarketGrader Account Linked Notes due 10 January 2025
S - Series NX000233719 EUR 2,700,000 Fixed Rate Credit Linked Notes due 2026
Series 2007-M Elex Alpha Principal Protected Notes Turbo - Series 2007-M
Series 2021-1 Issue of USD 360,000,000 Series 2021-1 Collateralised Securities due 2023
Series 2021-2 Issue of USD 365,400,000 Series 2021-2 Collateralised Securities due 2023
Series 11492 $160,500,000 Class AAY Fixed Rate Notes due December 2023
Series 11492 $330,000,000 Class ABD Fixed Rate Notes due December 2023
Series 11492 $385,000,000 Class AAZ Fixed Rate Notes due December 2023
Series 11492 $525,000,000 Class ABA Fixed Rate Notes due December 2023
Series 11492 - Class UD €150,000,000 Class UD Fixed Rate Notes due 18 December 2025
Series 11492 Class OV Issue of EUR216,000,000 Class OV Fixed Rate due 22 December 2025
Series 11492 Class SU Issue of €200,000,000 Class SU Fixed Rate Notes due 19 December 2025
Series 11492 Class SY Issue of €250,000,000 Class SY Fixed Rate Notes due 22 December 2025
Series 11492 Class TD Issue of €350,000,000 Class TD Fixed Rate Notes due 17 December 2025
Series 11492 Class TL Issue of £500,000,000 Class TL Fixed Rate Notes due June 2025
Series 11492 Class UB Issue of €150,000,000 Fixed Rate Notes due December 2025
Series 11492 Class UN Issue of $548,200,000 Class UN Fixed Rate Notes due November 2025
Series 11492 Class UO Issue of $550,000,000 Class UO Fixed Rate Notes due December 2025
Series 11492 Class VA €300,000,000 Fixed Rate Notes due December 2025
Series 11492 Class VE Issue of €300,000,000 Fixed Rate Notes due December 2025
Series 11492 Class VH Issue of €216,400,000 Class VH Fixed Rate Notes due 15 December 2025
Series 11492 Class VO Issue of €108,700,000 Fixed Rate Notes due December 2025
Series 11492 Class VP Issue of €54,400,000 Class VP Fixed Rate Notes due December 2025
Series 11492 Class VP Issue of €180,000,000 Fixed Rate Notes due December 2025
Series 11492 Class WF €500,000,000 Class WF Fixed Rate Notes due December 2025
Series 11492 Class XZ Issue of €500,000,000 Class XZ Fixed Rate Notes due September 2023
Series 11492 Class YB Issue of €100,000,000 Class YB Fixed Rate Notes due December 2025
Series 11492 Class YD €250,000,000 Class YD Fixed Rate Notes due December 2025
Series 11492 Class YI €150,000,000 Class YI Fixed Rate Notes due December 2025
Series 11492 Class YL €100,000,000 Class YL Fixed Rate Notes due December 2025
Series 11492 Class YX Issue of €330,000,000 Class YX Fixed Rate Notes due July 2023 (Series 11492 Class YX)
Series 11492 Issue of $400,000,000 Class AAR Fixed Rate Notes due September 2023
Series 11492 Issue of EUR 150,000,000 Class AAI Fixed Rate Notes due July 2023
Series 11492 Issue of USD 525,000,000 Class AAB Fixed Rate Notes due March 2023
Series 11492 Issue of €150,000,000 Class AAV Floating Rate Notes due November 2023
Series 11492 Issue of €200,000,000 Class SM Fixed Rate Notes due 23 December 2025
Series 11492 Issue of €300,000,000 Class TQ Fixed Rate Notes due December 2025
Series 11492 Issue of €416,000,000 Class AAO Floating Rate Notes due August 2023
Series 11492 Issue of €640,000,000 Class AAS Floating Rate Notes due September 2023
Series 11492 €300,000,000 Class AAP Fixed Rate Notes due August 2023
Series 11492, Class UP Issue of $500,000,000 Class UP Fixed Rate Notes due December 2025
Series 11492, Class VX Issue of €17,600,000 Fixed Rate Notes due November 2025
Series 11492, Class VX Issue of €100,000,000 Class VX Fixed Rate Notes due November 2025
Series 11492, Class WB Issue of €300,000,000 Class WB Fixed Rate Notes due February 2023
Series 11492, Class YA Issue of €150,000,000 Class YA Fixed Rate Notes due December 2025
Series 11492, Class YC Issue of €250,000,000 Class YC Fixed Rate Notes due December 2025
Series 11492, Class YE Issue of €250,000,000 Class YE Fixed Rate Notes due December 2025
Series 11492, Class YF Issue of €250,000,000 Class YF Fixed Rate Notes due December 2025
Series 11492, Class YJ Issue of €137,700,000 Class YJ Fixed Rate Notes due December 2025
Series 11492, Class YK Issue of €100,000,000 Class YK Fixed Rate Notes due December 2025
Series NX000215660 Issue of 10 Warrants due 23rd December 2024
Series NX000218871 Issue of 10 Warrants due 5 September 2024
Series NX000221728 Issue of 10 Warrants due 13 November 2023
Series NX000221819 Issue of 10 Warrants due 14 November 2024
Series NX000225679 Issue of EUR 5,000,000 Fixed Rate Securities due 18 March 2039
Series NX000226278 Issue of 10 Warrants due 28 March 2025
Series NX000226344 EUR 130,000,000 Fixed Rate to Forward CMS-Linked Securities, due 12 April 2039
Series NX000227262 Issue of 10 Warrants due 29 April 2025.
Series NX000227501 Issue of 10 Warrants due 24 April 2025
Series NX000227589 Issue of 10 Warrants due 29 April 2025
Series NX000228090 Issue of 10 Warrants due 2 May 2025
Series NX000228325 Issue of 10 Warrants due 08 May 2026
Series NX000228422 Issue of 10 Warrants due 2 May 2025 (Series NX000228422)
Series NX000228687 Issue of 10 Warrants due 21 May 2026
Series NX000228748 Issue of 10 Warrants due 15 May 2025
Series NX000229459 EUR 51,000,000 Fixed Rate to Constant Maturity Swap Rate Securities, due 12 June 2034
Series NX000230171 Series NX000230171 EUR 50,000,000 Constant Maturity Swap Rate - Linked Securities, due 26 June 2031
Series NX000230204 EUR 65,000,000 Floating Rate Securities due June 2024 pursuant to the Global Structured
Series NX000232567 10 Warrants due July 2025 ("Tranche 1")
Series NX000234908 TRY 152,614,000 Securities due September 2025
Series NX000238201 EUR 3,000,000 Floating Rate Securities due November 2029
Series NX000239221 10 Warrants due December 2025
Series NX000241625 EUR 15,000,000 Securities due March 2030
Series NX000242218 Issue of PLN 32,300,000 Securities due January 2025
Series NX000244240 10 Warrants due February 2026
Series NX000247542 Issue of EUR 2,200,000 Securities due May 2030
Series NX000248481 EUR 11,000,000 Securities due November 2024
Series NX000249232 Issue of EUR 15,000,000.00 Securities due July 2025
Series NX000249943 EUR 7,127,000 Securities due June 2023
Series NX000250034 Issue of EUR 18,000,000 Securities due June 2024
Series NX000250641 EUR 4,617,000 Securities due June 2023
Series NX000252463 Issue of USD 4,986,000 Securities due August 2025
Series NX000252925 USD 275,000,000 Securities due June 2024
Series NX000253381 Issue of Up to EUR 20,000,000 Securities due September 2025
Series NX000256048 CZK 495,000,000 Securities due June 2025 under the Global Structured Securities Programme
Series NX000257644 Issue of GBP 3,673,000 Securities due September 2030
Series NX000258978 Issue of GBP 1,320,000 Securities due October 2030
Series NX000260533 Issue of USD 6,000,000 Securities due November 2030
Series NX000262938 Issue of EUR 17,000,000 Securities due December 2025 under the Global Structured Securities Programme
Series NX000264511 Issue of Up to EUR 7,000,000 Securities due February 2031
Series NX000269411 Issue of EUR 3,500,000 Securities due March 2026
Series NX000272965 Issue of EUR 15,000,000 Securities due February 2041
Series NX000275229 EUR 2,000,000 Securities due March 2031 under the Global Structured Securities Programme
Series NX000275541 Issue of EUR 15,000,000 Securities due June 2031 under the Global Structured Securities Programme
Series NX000277336 Issue of USD 4,500,000 Securities due May 2026
Series NX000278028 Issue of EUR 11,100,000 Securities due May 2026
Series NX000278311 Issue of EUR 20,000,000 Securities due May 2031
Series NX000278954 EUR 2,000,000 Securities due May 2026
Series NX000282197 EUR 90,000,000 Securities due April 2031 pursuant to the Global Structured Securities
Series NX000285857 Issue of EUR 10,000,000 Securities due August 2024
Series NX000287324 Issue of USD 7,000,000 Securities due July 2031 under the Global Structured Securities
Series NX000290710 Issue of EUR 1,500,000 Securities due July 2026
Series NX000292196 Issue of EUR 11,500,000 Securities due August 2026
Series NX000292464 Issue of USD 3,000,000 Securities due September 2026
Series NX000298807 Issue of EUR 1,100,000 Securities due October 2026
Series NX000300054 Issue of 8,600,000 Securities due November 2026
Series NX000304361 Issue of EUR 2,500,000 Securities due December 2024
Series NX000306947 Issue of EUR 1,100,000 Securities due November 2026
Series NX000308039 Issue of EUR 10,000,000 Securities due February 2032
Series NX000311648 Issue of USD 1,000,000 Securities due February 2025
Series NX000311918 Issue of EUR 3,500,000 Securities due February 2025
Series NX000326499 Issue of EUR850,000 Securities due April 2027
Series NX00219484 Issue of USD 4,000,000 Worst of Autocallable Notes due 28 September 2026
Series NX00271562 EUR 1,200,000 Worst of Quanto Autocallable Barrier Reverse Convertible Notes due February 2025
Series NX00272540 EUR 1,158,000 Quanto Autocallable Barrier Reverse Convertible Notes due February 2026
Series NX00272706 EUR 1,158,000 Autocallable Barrier Reverse Convertible Notes due February 2026
Series NX00274256 USD 2,100,000 Worst-of Quanto Autocallable Reverse Convertible Notes due February 2024
Series NX00274600 USD 2,280,000 Autocallable Barrier Reverse Convertible Notes due February 2026
Series NX00274603 EUR 1,500,000 Worst of Autocallable Reverse Convertible Notes due February 2024
Series NX00274604 EUR 2,500,000 Worst-of Autocallable Reverse Convertible Notes due February 2024
Series NX00279382 EUR 3,000,000 Autocallable Barrier Reverse Convertible Notes due March 2024
Series NX00279383 EUR 3,000,000 Autocallable Barrier Reverse Convertible Notes due March 2024.
Series NX00279936 EUR 2,350,000 Worst-of Quanto Autocallable Reverse Convertible Notes due March 2024
Series NX00283107 EUR 2,500,000 Quanto Autocallable Reverse Convertible Notes due April 2024
Series NX00283328 USD 3,100,000 Autocallable Reverse Convertible Notes due April 2023
Series NX00285002 USD 1,150,000 Autocallable Reverse Convertible Notes due April 2024
Series NX00293915 EUR 2,230,000 Autocallable Barrier Reverse Convertible Notes due June 2023
Series NX00293917 EUR 2,270,000 Autocallable Barrier Reverse Convertible Notes due June 2023
Series NX00303384 USD 2,350,000 Worst-of Quanto Autocallable Reverse Convertible Notes due September 2024
Series NX00306131 EUR 5,000,000 Worst-of Autocallable Reverse Convertible Notes due September 2023
Series NX00306145 EUR 2,100,000 Worst-of Quanto Autocallable Reverse Convertible Notes due September 2023
Series NX00306146 USD 5,000,000 Worst of Quanto Autocallable Reverse Convertible Notes due September 2023
Series NX00309803 Issue of EUR 3,000,000 Securities due December 2026
Series NX00311393 USD 2,100,000 Worst of Quanto Autocallable Reverse Convertible Notes due November 2024
Series NX00311625 USD 2,250,000 Worst-of Quanto Autocallable Reverse Convertible Notes due November 2023
Series NX00320845 Issue of EUR 12,600,000 Securities due April 2027
Series NX00321304 Issue of EUR 1,906,000 Securities due September 2027
Series NX00326100 Issue of 6,000,000 Securities due June 2027
Series NX00326452 Issue of EUR 700,000 Securities due April 2027
Series NX00327192 Issue of USD 70,000,000 Fixed Coupon Callable Notes due April 2032
Series NX00327642 Issue of 63,988,000 Securities due May 2025
Series NX00328497 USD 2,150,000 Worst of Quanto Autocallable Reverse Convertible Notes due April 2025
Series NX00329170 Issue of EUR 34,674,000 Securities due June 2027
Series NX00329278 EUR 40,000,000 Securities due April 2024
Series NX00333927 EUR 300,000 Autocallable Notes due August 2027
Series NX00336395 Issue of EUR 27,000,000 Securities due October 2027
Series NX00338666 Issue of EUR 28,995,000 Securities due November 2027
Series NX00339604 EUR 1,700,000European Barrier Autocallable Securities due December 2027
Series NX00341392 issue of EUR 6,605,000 Securities due May 2028
Series NX00342937 Issue of EUR 30,000,000 Securities due December 2027
Series NX00343304 Issue of EUR 6,070,000 Securities due June 2028
Series NX00343770 Issue of EUR 8,283,000 Securities due December 2027
Series NX00345672 Issue of EUR 2,958,000 Securities due July 2028 under the Global Structured Securities Programme
Series NX00345685 EUR 18,500,000 European Barrier Autocallable Securities due February 2028
Series NX00346695 Issue of EUR 23,000,000 Securities due January 2028 under the Global Structured Securities
Series NX00348637 Issue of EUR 1,000,000 Autocallable Barrier Reverse Convertible Notes due January 2024
Series XS000215478 Issue of 10 Warrants due 25 June 2025
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