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DOCUMENTS
Issuer/Programme
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Danske Bank A/S EUR 30,000,000,000 Global Covered Bond Programme
EUR 30,000,000,000 Global Covered Bond Programme - DANSKE BANK A/S
U.S.$ 20,000,000,000 U.S. Medium-Term Note Program
EUR 5,000,000,000 STRUCTURED NOTE PROGRAMME
EUR 35,000,000,000 EURO MEDIUM TERM NOTE PROGRAMME - Danske Bank A/S
Securities
Select All
CR000C8P Issue of EUR 1,298,000.00 Equity-Linked Redemption Notes
CR00081F Issue of EUR 6,937,000 DANSKE 081F Autocallable due 8 March 2025
CR000817B EUR 2,342,000 0817 Indeksiobligaatio Eettinen Eurooppa 5 T due 28 March 2024
DDBO FEB2 Issue of EUR 3,104,000 DDBO FEB2 due 29 March 2024
S - USD750,000,000 Perpetual Non-cumulative Resettable Additional Tier 1 Convertible Capital Notes
S - USD 750,000,000 Perpetual Non-cumulative Resettable Additional Tier 1 Convertible Capital Notes
S - USD 750000000 Perpetual Non-cumulative Resettable Additional Tier 1 Convertible Capital Notes
SERIES CR000BYW Issue of EUR 1,179,000.00 Equity-Linked Redemption
Series 015 Issue of USD 500,000,000 4.375 Percent Non-Preferred Senior Notes due 12 June 2028
Series 024 Issue of U.S.$ 750,000,000 1.621 Percent Non-Preferred Senior Callable Notes due 2026 (144A)
Series 024 Issue of U.S.$ 750,000,000 1.621 Percent Non-Preferred Senior Callable Notes due 2026 (Reg S)
Series 025 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2025 (Reg S)
Series 025 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2025 (Rule 144A)
Series 026 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2027 (Reg S)
Series 026 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2027 (Rule 144A)
Series 027 Series 27 Issue of U.S.$ 750,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2025 (Reg S)
Series 027 Series 27 Issue of U.S.$ 750,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2025 (Rule 144A)
Series 028 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2028 (Reg S)
Series 028 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2028 (Rule 144A)
Series 029 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2026
Series 029 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2026 (Reg S)
Series 030 U.S.$1,250,000,000 Preferred Senior Fixed Rate Resettable Notes due 2026 (144A)
Series 030 U.S.$1,250,000,000 Preferred Senior Fixed Rate Resettable Notes due 2026 (Reg S)
Series 031 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2028 Regulation S
Series 031 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2028 Rule 144A
Series 032 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2030 Regulation S
Series 032 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2030 Rule 144 A
Series 19 Issue of U.S.$ 750,000,000 3.244 Percent Non-Preferred Senior Callable Fixed-To-Floating Rate Notes due 2025(144A)
Series 19 Issue of U.S.$ 750,000,000 3.244 Percent Non-Preferred Senior Callable Fixed-To-Floating Rate Notes due 2025(Reg S)
Series 127-D Issue of EUR 75,000,000 0.929 per cent Covered Bonds due 10 June 2025
Series 135-D Issue of EUR 48000000 1.636 per cent. Covered Bond due 23rd June 2036
Series 142-I Issue of EUR 80,000,000 0.805 per cent. Covered Bonds due 12 August 2036
Series 147-D Issue of EUR 10,000,000 0. 750 per cent Covered Bonds due 2027
Series 149-C Issue of EUR 500,000,000 0.750 per cent. Covered Bonds due 22nd November 2027
Series 150-D Issue of EUR 30,000,000 1.490 per cent. Covered Bonds due 15 February 2038
Series 152-D Issue of EUR 100,000,000 1.389 per cent. Covered Bonds due 25 May 2033
Series 153-D Issue of EUR 50,000,000 1.544 per cent. Covered Bonds due 25th May 2038
Series 159-C Issue of EUR 1,000,000,000 0.63 per cent. Covered Bonds due 17 December 2025
Series 162-D Issue of EUR 1,000,000,000 0.01 per cent Covered Bonds due 2025
Series 166-I Issue of EUR 1,000,000,000 0.01 per cent. Covered Bonds due 2025
Series 169-C Issue of EUR 1,000,000,000 2.875 per cent. Covered Bonds due 2026
Series 172-D Issue of EUR 1,250,000,000 3.25 per cent. Covered Bonds due 2027
Series 173-D Issue of EUR 1,000,000,000 3.25 per cent. Covered Bonds due 2028
Series 586 Issue of EUR 25,000,000 1.223 per cent. Notes due 23 March 2026
Series 618 Issue of EUR 61,300,000 2.059 per cent. Non-Preferred Senior Notes due 28th June 2033
Series 619 Issue of EUR 50,000,000 2.03 per cent. Non-Preferred Senior Notes due 21 December 2032
Series 621 Issue of EUR 60,000,000 2.091 per cent. Non -Preferred Senior Notes due 7 August 2032
Series 622 Issue of JPY 10,000,000,000 0.07 per cent. Non-Preferred Senior Notes due 23 August 2038
Series 631 Issue of EUR 750,000,000 Subordinated Fixed Rate Resettable Tier 2 Notes due 21 June 2029
Series 634 Issue of NOK 375,000,000 3.65 per cent. Non-Preferred Senior Notes due 15 May 2029
Series 635 Issue of NOK 250,000,000 3.20 per cent. Non-Preferred Senior Notes due 15 May 2024
Series 637 EUR 1,000,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2025
Series 638 NOK 450,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2030
Series 639 Issue of JPY 5,000,000,000 0.91 per cent. Non-Preferred Senior Callable Fixed-to-Floating Rate Notes due 2039
Series 640 NOK 350,000,000 2.735 per cent. Non Preferred Senior Notes due 2024
Series 641 NOK 600,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2025
Series 642 NOK 750,000,000 Non-Preferred Senior Callable Fixed-to-Floating Rate Notes due 2025
Series 643 Issue of EUR 750,000,000 Subordinated Fixed Rate Resettable Tier 2 Notes due 2030
Series 644 SEK 1,000,000,000 Subordinated Floating Rate Tier 2 Notes due 2029
Series 645 Issue of GBP 750,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2028
Series 647 Issue of NOK 1,500,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2026
Series 649 Issue of EUR 75,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2026
Series 650 Issue of EUR 1,000,000,000 0.625 per cent. Preferred Senior Notes due 2025
Series 651 NOK 1,750,000,000 Preferred Senior Callable Floating Rate Notes due 2026
Series 656 Issue of EUR 500,000,000 Subordinated Fixed Rate Resettable Tier 2 Notes due 2030
Series 658 Issue of EUR 750,000,000 Subordinated Fixed Rate Resettable Tier 2 Notes due 2031
Series 659 Issue of NOK 500,000,000 Preferred Senior Floating Rate Notes due 2026
Series 661 Issue of EUR 500,000,000 Non-Preferred Senior Fixed Rate Resettable Green Bonds due june 2029
Series 663 Issue of NOK 1,000,000,000 Preferred Senior Callable Floating Rate Notes due 2025
Series 664 Issue of SEK 250,000,000 Preferred Senior Callable Floating Rate Notes due 2025
Series 664 Issue of SEK 750,000,000 Preferred Senior Callable Floating Rate Notes due 2025
Series 665 Issue of NOK 500,000,000 Preferred Senior Callable Fixed-to-Floating Rate Notes due 2027
Series 666 SEK 700,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2027
Series 668 Issue of NOK 700,000,000 Preferred Senior Callable Fixed-to-Floating Rate Notes due 2026
Series 670 Issue of EUR 750,000,000 Non-Preferred Senior Fixed Rate Resettable Green Bonds due 2027
Series 671 Issue of NOK 750,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2028
Series 672 Issue of NOK 250,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2027
Series 673 Issue of SEK 700,000,000 Preferred Senior Callable Fixed-to-Floating Rate Notes due 2025
Series 674 Issue of SEK 250,000,000 Preferred Senior Callable Floating Rate Notes due 2025
Series 675 EUR 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2027
Series 676 EUR 1,000,000,000 Preferred Senior Fixed Rate Resettable Green Bonds due 2031
Series 677 GBP 750,000,000 Preferred Senior Fixed Rate Resettable Notes due 2027
Series 678 Issue of NOK 1,250,000,000 Preferred Senior Callable Fixed-to-Floating Rate Notes due 2031
Series 679 Issue of SEK 1,200,000,000 Preferred Senior Floating Rate Callable Green Bonds due 2026
Series 680 Issue of SEK 800,000,000 Preferred Senior Fixed-to-Floating Rate Callable Green Bonds due 2026
Series 681 Issue of SEK 500,000,000 Preferred Senior Fixed-to-Floating Rate Callable Green Bonds due 2028
Series 682 Issue of EUR 1,000,000,000 Non-Preferred Senior Fixed-to-Fixed Rate Resettable Green Bonds due 2030
Series 683 Issue of EUR 375,000,000 Preferred Senior Floating Rate Notes due 2025
Series 684 Issue of GBP 350,000,000 Preferred Senior Fixed-to-Fixed Rate Resettable Notes due 2028
Series 685 Issue of SEK 600,000,000 Preferred Senior Floating Rate Notes due 2027
Series 686 Issue of SEK 750,000,000 Preferred Senior Fixed-to-Floating Rate Callable Notes due 2026
Series 687 Issue of EUR 500,000,000 Non-Preferred Senior Fixed-to-Fixed Rate Resettable Green Bonds due 2028
Series 688 Issue of NOK 2,600,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2029
Series 689 Issue of SEK 800,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2026
Series 690 Issue of NOK 450,000,000 Non-Preferred Senior Fixed-to-Floating Rate Callable Notes due 2029
Series 691 Issue of SEK 750,000,000 Preferred Senior Floating Rate Callable Notes due 2026
Series 692 Issue of EUR 750,000,000 Non-Preferred Senior Fixed-to-Fixed Rate Resettable Notes due 2032
Series 693 EUR 750,000,000 Subordinated Fixed Rate Resettable Tier 2 Notes due 2034
Series CR000B0P Issue of EUR 2,681,000.00 Equity-Linked Redemption Notes due 2026
Series CR000B3F Issue of EUR 1,655,000.00 Equity-Linked Redemption Notes due June 2025
Series CR000B8Y Issue of EUR 2,140,000 Equity-Linked Redemption Notes due 2025
Series CR000B11 Issue of EUR 2,199,000.00 Index-Linked Redemption Notes due June 2025.
Series CR000B13 Issue of EUR 1,531,000 0B13 Indeksiobligaatio Suomi 10
Series CR000B28 Issue of EUR 5,000 dated 15 July 2025
Series CR000B31 Issue of EUR 1,846,000 DANSKE 0B31 Sprinter 2025
Series CR000B47 Issue of EUR 3,753,000 Equity-Linked Redemption Notes due 2025
Series CR000BB5 Issue of EUR 601,000.00 Equity-Linked Redemption Notes due 2025
Series CR000BBC Issue of EUR 5,356,000.00 Equity-Linked Redemption Notes due 2026
Series CR000BCX Issue of EUR 2,725,000 0BCX Osakeobligaatio Terveys 8
Series CR000BFT Issue of EUR 3,903,000.00 Equity-Linked Redemption Notes due 2026
Series CR000BFX Issue of EUR 1,179,000.00 Equity-Linked Redemption Notes due 2025
Series CR000BGG Issue of EUR 1,167,000.00 Equity-Linked Redemption Notes
Series CR000BJS Issue of EUR 1,315,000.00 Equity-Linked Redemption Notes due 2025
Series CR000BK0 Issue of EUR Up to 4,452,000.00 Equity-Linked Redemption Notes due 2026
Series CR000BKH Issue of EUR 3,276,000 Equity-Linked Redemption Notes due 2026
Series CR000BKS Issue of EUR 1,655,000.00 Equity-Linked Redemption Notes
Series CR000BN5 Issue of EUR 2,335,000.00 Equity-Linked Redemption Notes due 2025
Series CR000BN8 Issue of EUR 1,150,000 Equity-Linked Redemption Notes
Series CR000BP7 Issue of EUR823,000 0BP7 Osakeobligaatio Pohjois-Eurooppa 2, ISIN: DK0030472295
Series CR000BQC Issue of EUR 2,603,000.00 Equity-Linked Redemption Notes due 2026
Series CR000BQD Issue of EUR 5,475,000.00 DANSKE 0BQD Autocallable 2026
Series CR000BR7 Issue of EUR 1,345,000.00 0BR7 Osakeobligaatio Telecom 3
Series CR000BRK Issue of EUR 5,922,000.00 DANSKE 0BRK Autocallable 2026
Series CR000BS9 Issue of EUR 719,000.00 Index-Linked Redemption
Series CR000BSG Issue of EUR 1,117,000.00 Equity-Linked Redemption Notes due 2027
Series CR000BT7 Issue of EUR 661,000.00 Equity-Linked Redemption
Series CR000BT8 Issue of EUR 2,100,000.00 Equity-Linked Redemption Notes
Series CR000BTM EUR 1,934,000 Equity-Linked Redemption Notes CR000BTM
Series CR000BTQ Issue of EUR 4,294,000.00 Equity-Linked Redemption Notes due 2027.
Series CR000BTX Issue of 1,934,000.00 Notes DANSKE 0BTX Sprinter 2026 , ISIN: FI4000480199
Series CR000BV2 Issue of EUR 716,000.00 Equity-Linked Redemption Notes
Series CR000BV3 Issue of EUR 275000.00 Equity-Linked Redemption Notes.
Series CR000BW7 Issue of EUR 170,000.00 Equity-Linked Redemption Notes due 2026
Series CR000BW9 Issue of EUR 1,520,000.00 Equity-Linked Redemption Notes
Series CR000BWL Issue of EUR 200,000.00 Index-Linked Redemption Notes
Series CR000BWV Issue of EUR 2,221,000.00 Equity-Linked Redemption
Series CR000BX7 Issue of EUR 4,058,000.00 Equity-Linked Redemption
Series CR000BXL Issue of EUR 9,397,000.00 DANSKE Equity-Linked Redemption Notes due 2027
Series CR000BXM Issue of EUR 4,600,000.00 Equity-Linked Redemption Notes
Series CR000BXX Issue of EUR 995,000.00 Equity-Linked Redemption
Series CR000BXY Issue of EUR 1,750,000 Equity-Linked Redemption Notes
Series CR000BY4 Issue of EUR 4,264,000.00 Equity-Linked Redemption Notes
Series CR000BYB Issue of EUR 447,000.00 Equity-Linked Redemption
Series CR000BYK Issue of EUR 1,275,000.00 Equity-Linked Redemption
Series CR000BYM Issue of EUR 4,163,000 Equity-Linked Redemption Notes.
Series CR000BYQ Issue of EUR 633,000.00 Equity-Linked Redemption
Series CR000BYR Issue of EUR 526,000.00 Equity-Linked Redemption Notes CR000BYR (the "Notes")
Series CR000BYV Issue of EUR 4,216,000.00 Equity-Linked Redemption Notes
Series CR000BZ2 Issue of EUR 2,159,000.00 Equity-Linked Redemption Notes due 2027
Series CR000BZ3 Issue of EUR 711,000.00 Equity-Linked Redemption Notes CR000BZ3
Series CR000BZ9 Issue of EUR 7,390,000 Equity-Linked Redemption Notes
Series CR000BZC Issue of EUR 4,046,000.00 Equity-Linked Redemption Notes due 2027
Series CR000BZX Issue of EUR 5,374,000.00 Equity-Linked Redemption Notes
Series CR000C0G Issue of EUR 1,095,000 DANSKE 0C0G Autocallable 2026, ISIN: FI4000506837
Series CR000C0M Issue of EUR 4,595,000.00 Equity-Linked Redemption
Series CR000C0P Issue of 3,096,000 Equity-Linked Redemption Notes CR000C0P
Series CR000C0X Issue of EUR 3,640,000 Equity-Linked Redemption Notes
Series CR000C0Y Issue of EUR 2,078,000.00 Equity-Linked Redemption Notes
Series CR000C00 Issue of EUR 624,000 Equity-Linked Redemption Notes CR000C00
Series CR000C01 Issue of EUR 595,000.00 Equity-Linked Redemption Notes.
Series CR000C02 Issue of EUR 670,000.00 Equity-Linked Redemption Notes
Series CR000C07 Issue of EUR 275,000 Index-Linked Redemption Notes
Series CR000C1V Issue of EUR 4,462,000.00 Equity-Linked Redemption Notes due 2027.
Series CR000C1X Issue of EUR 566,000.00 Equity-Linked Redemption Notes CR000C1X
Series CR000C1Y Issue of EUR 540,000.00 Index-Linked Redemption Notes CR000C1Y
Series CR000C2C Issue of EUR 5,118,000.00 Equity-Linked Redemption
Series CR000C2G Issue of EUR 1,675,000.00 Equity-Linked Redemption Notes
Series CR000C2P Issue of EUR 4,586,000.00 Equity-Linked Redemption Notes
Series CR000C3L Issue of EUR 5,056,000.00 Equity-Linked Redemption Notes
Series CR000C3X Issue of EUR 2,292,000.00 Equity-Linked Redemption Notes
Series CR000C3Z Issue of EUR 5,450,000.00 Equity-Linked Redemption Notes
Series CR000C4B Issue of EUR 594,000.00 Index-Linked Redemption Notes CR000C4B
Series CR000C4M Issue of EUR 768,000.00 Equity-Linked Redemption Notes CR000C4M
Series CR000C4N Issue of EUR 5,445,000.00 Equity-Linked Redemption Notes
Series CR000C4P Issue of EUR 5,344,000.00 Equity-Linked Redemption Notes
Series CR000C4W Issue of EUR 1,337,000.00 Equity-Linked Redemption Notes
Series CR000C5G Issue of EUR 4,292,000.00 Equity-Linked Redemption Notes CR000C5G
Series CR000C5H Issue of EUR 3,273,000 Equity-Linked Redemption Notes
Series CR000C5K Issue of EUR 1,725,000.00 Equity-Linked Redemption Notes CR000C5K
Series CR000C6S Issue of EUR 1,833,000.00 Equity-Linked Redemption Notes CR000C6S
Series CR000C6T Issue of EUR 1,985,000.00 Equity-Linked Redemption Notes CR000C6T
Series CR000C7C Issue of EUR 745,000.00 Equity-Linked Redemption Notes CR000C7C
Series CR000C7J Issue of EUR 5,387,000.00 Equity-Linked Redemption Notes CR000C7J
Series CR000C7Y Issue of EUR 5,696,000.00 Equity-Linked Redemption Notes
Series CR000C8B Issue of 370,000.00 Index-Linked Redemption Notes
Series CR000C8H Issue of EUR 565,000.00 Equity-Linked Redemption Notes CR000C8H
Series CR000C8M Issue of EUR 1,324,000.00 Index-Linked Redemption Notes
Series CR000C8R Issue of EUR 4,226,000.00 Equity-Linked Redemption Notes
Series CR000C9F Issue of EUR 4,205,000 Equity-Linked Redemption Notes
Series CR000C9M Issue of EUR 1,155,000.00 Credit-Linked Redemption Notes
Series CR000C9X Issue of EUR 750,000.00 Equity-Linked Redemption Notes
Series CR000C13 Issue of EUR 746,000.00 Equity-Linked Redemption Notes CR000C13
Series CR000C26 Issue of EUR 743,000.00 Equity-Linked Redemption Notes CR000C26
Series CR000C34 Issue of EUR 478,000.00 Equity-Linked Redemption Notes
Series CR000C52 Issue of EUR 4,988,000.00 Equity-Linked Redemption Notes
Series CR000C57 Issue of EUR 221,000.00 Equity-Linked Redemption Notes
Series CR000C59 Issue of EUR 665,000.00 Index-Linked Redemption Notes CR000C59
Series CR000C65 Issue of EUR 568,000.00 0C65 Equity-Linked Redemption Notes
Series CR000C69 Issue of EUR 2,775,000.00 Equity-Linked Redemption Notes CR000C69
Series CR000C71 Issue of EUR 4,143,000.00 Equity-Linked Redemption Notes CR000C71
Series CR000C78 Issue of EUR 1,376,000.00 Index-Linked Redemption Notes
Series CR000C79 Issue of EUR 1,382,000.00 Equity-Linked Redemption Notes CR000C79
Series CR000C80 Issue of EUR 3,314,000.00 Equity-Linked Redemption Notes
Series CR000C81 Issue of EUR 4,068,000.00 Equity-Linked Redemption Notes
Series CR000C83 Issue of EUR 3,127,000.00 Equity-Linked Redemption Notes
Series CR000CB5 Issue of EUR 4,187,000.00 Equity-Linked Redemption Notes
Series CR000CB9 Issue of EUR 4,250,000.00 Equity-Linked Redemption Notes
Series CR000CBD Issue of EUR 1,007,000.00 Index-Linked Redemption Notes
Series CR000CBF Issue of EUR 2,841,000.00 Index-Linked Redemption Notes
Series CR000CBK Issue of EUR 3,608,000.00 Equity-Linked Redemption Notes
Series CR000CBL Issue of EUR 600,000.00 Index-Linked Redemption Notes
Series CR000CBQ Issue of EUR 1,355,000.00 Equity-Linked Redemption Notes
Series CR000CCP Issue of EUR 1,203,000.00 Equity-Linked Redemption Notes
Series CR000CCQ Issue of EUR 455,000.00 Equity-Linked Redemption Notes
Series CR000CCS Issue of EUR 2,000,000.00 Credit-Linked Redemption Notes
Series CR000CD4 Issue of EUR 1,533,000.00 Index-Linked Redemption Notes
Series CR000CDH Issue of EUR 125,000.00 Credit-Linked Redemption Notes
Series CR000CDJ Issue of EUR 1,000,000.00 Credit-Linked Redemption Notes
Series CR000CDX Issue of EUR 847,000.00 Equity-Linked Redemption Notes
Series CR000CF0 Issue of EUR 180,000.00 Credit-Linked Redemption Notes
Series CR000CF4 Issue of EUR 2,084,000.00 Equity-Linked Redemption Notes
Series CR000CF7 Issue of EUR 2,878,000.00 Equity-Linked Redemption Notes
Series CR0007YR Issue of EUR 4,375,000 CR0007YR FI4000359526 due 31 January 2025
Series CR0008HZ Issue of EUR 5,058,000 DANSKE 08HZ Autocallable 2025 , ISIN: FI4000375506 due 29 May 2025
Series CR0008J6 Issue of EUR 4,961,000 DANSKE 08J6 Osakeobligaatio Eurooppa, ISIN: DK0030443270 due 31 May 2024
Series CR0008K5 Issue of EUR 3,069,000 DANSKE 08K5 Osakeobligaatio Suomi 12 T due 19 June 2024
Series CR0008KZ Issue of EUR 6,364,000 DANSKE 08KZ Autocallable 28 June 2025
Series CR0008L1 Issue of EUR 2,032,000 DANSKE 08L1 Autocallable 28 June 2025
Series CR0008LH EUR 6,562,000 DANSKE 08LH Osakeobligaatio Pohjoismaat
Series CR0008MD EUR 988,000 DANSKE 08MD Osakeobligaatio Eurooppa Suuryhtiöt -Maltillinen
Series CR0008MF EUR 2,370,000 DANSKE 08MF Osakeobligaatio Eurooppa Suuryhtiöt -Tuottohakuinen
Series CR0008MK Issue of EUR 4,303,000 DANSKE 08MK Autocallable 2025
Series CR0008NN EUR 3,720,000 DANSKE 08NN Osakeobligaatio Suomi 13 90%
Series CR0008PL Issue of 08PL Osakeobligaatio Maailma 29, ISIN: DK0030448907
Series CR0008QD Issue of EUR 4,468,000 DANSKE 08QD Osakeobligaatio Pohjoismaat 2 Notes due 18 October 2024
Series CR0008QF Issue of EUR 2,974,000 DANSKE 08QF Autocallable 2025
Series CR0008RC Issue of EUR 2,954,000 08RC Indeksiobligaatio Puhtaampi Eurooppa,
Series CR0008RD EUR 1,850,000 DANSKE 08RD Autocallable 2024
Series CR0008RR Issue of EUR 1,000,000 DANSKE 08RR Sprinter 2019
Series CR0008S9 Issue of EUR 6,031,000 Osakeobligaatio Suomi-Ruotsi VI
Series CR0008SD Issue of DANSKE 08SD Autocallable 2025
Series CR0008SH Issue of EUR 3,763,000.00 DANSKE 08SH Autocallable 2025
Series CR0008T6 Issue of EUR 2,310,000 DANSKE 08T6 Nokian Renkaat AC 2
Series CR0008V2 Issue of EUR 2,868,000.00 08V2 Osakeobligaatio Kulutustuotteet
Series CR0008VH Issue of EUR 2,042,000 DANSKE 08VH Autocallable 2025
Series CR0008XJ Issue of DANSKE 08XJ Osakeobligaatio Suomi 14 90%
Series CR00080C Issue of EUR 2,380,000 due 01 March 2025
Series CR00080L Issue of EUR 3,070,000 Notes due 1 March 2025
Series CR000816A EUR 985,000 DANSKE 0816 Indeksiobligaatio Eettinen Eurooppa 5 M due 28 March 2024
Series CR00085X Issue of EUR 5,191,000 DANSKE 085X Osakeobligaatio Suomi 11 90% due 19 April 2024
Series CR000855 Issue of EUR 6,097,000 Danske 0855 Autocallable due 28 March 2025
Series CR000856 Issue of EUR 5,157,000 DANSKE 0856 Autocallable due 28 March 2025
Series CR00086T Issue of EUR 3,346,000 086T Osakeobligaatio Terveys 5 Tuottohakuinen 07 May 2024
Series CR00086Y Issue of EUR 2,883,000 DANSKE 086Y Autocallable 2025 , ISIN: FI4000369996 due 29 April 2025
Series CR000860. Issue of EUR 6,352,000 DANSKE 0860 Autocallable due 05 April 2025
Series CR00087T Issue of EUR 5,220,000 DANSKE 087T Autocallable 2025 , ISIN: FI4000375266 due 29 April 2025
Series CR000877 Issue of EUR 3,040,000 DANSKE 0877 Autocallable 2025 , ISIN: FI4000375068 due 2 May 2025
Series CR000886 Issue of EUR 2,000,000 DANSKE 0886 Autocallable Notes due 24 April 2024
Series CR0009BW Issue of EUR 3,371,000 Equity-Linked Redemption Notes due 2025
Series CR0009C3 Issue of EUR 2,616,000.00 Equity-Linked Redemption Notes due 2026
Series CR0009C5 Issue of EUR 6,259,000 Equity-Linked Redemption Notes due 2026
Series CR0009CC Issue of USD2,641.32 Credit-Linked Redemption Notes due 2025
Series CR0009JS Issue of up to EUR 50,000,000 Credit-Linked Redemption Notes due January 15, 2025
Series CR0009JV Issue of EUR 917,000 09JV Osakeobligaatio Ruotsi, due 24 April 2025
Series CR0009L0 Issue of EUR453,000 Equity-Linked Redemption due 2026
Series CR0009ML Issue of EUR 1,745,000 Equity-Linked Redemption Notes due 2026
Series CR0009MZ Issue of EUR 3,300,000 CR0009MZ
Series CR0009NR Issue of EUR Up to 3,000,000 Credit-Linked Redemption Notes due 2025
Series CR0009Q9 Issue of EUR 2,200,000 DANKE 09Q9 CLN Tranche 2025
Series CR0009R3 Issue of EUR 1,792,000 Equity-Linked Redemption Notes due 19 May 2025
Series CR0009SZ Issue of EUR 5,255,000 Equity-Linked Redemption Notes due 2025
Series CR0009TB Issue of EUR 1,050,000 DANSKE 09TB CLN Tranche due January 2025
Series CR0009WS Issue of EUR 1,205,000 Index-Linked Redemption Notes
Series CR0009X5 Issue of EUR 1,625,000 Equity-Linked Redemption Notes due April 2025
Series CR0009Y8 Issue EUR 3,558,000 Equity-Linked Redemption due 2025
Series CR0009YD Issue of EUR 3,105,000.00 Equity-Linked Redemption Notes due 2025
Series CR0009YF Issue of EUR 1,795,000 DANSKE 09YF CLN Tranche 2025
Series CR00090W Issue of EUR 2,048,000.00 Notes DANSKE 090W Osakeobligaatio Kulutustuotteet 2
Series CR00091R Issue of EUR 1,698,000.00 notes due 2026
Series CR00093Y Issue of 3,740,000 Equity-Linked Redemption Notes due 2025
Series CR00094G Issue of €18,382.52 DANSKE 094G Luottokorilaina Eurooppa HY USD , ISIN: XS2096663914
Series CR00095T Issue of EUR 7,322,000 DANSKE 095T Autocallable 2026
Series CR00097L Issue of up to EUR 50,000,000.00 Index-Linked Redemption Notes due 2025
Series CR000986 Issue of up to EUR 1,255,000.00 Equity-Linked Redemption Notes due 2025
Series CR00099P Issue of Up to EUR 1,803,000 Equity-Linked Redemption Notes due 2026
Series DDBO DE2EB Issue of SEK 31,130,000; DDBO DE2EB due 16th June 2025
Series DDBO DE307 Issue of 2,500,000 DDBO DE307 due 12 June 2028
Series DDBO DE307 Issue of EUR 5,000,000 DDBO DE307 due 12 June 2028
Series DDBO FEAF Issue of EUR 3,552,000 DDBO FEAF due 29 March 2024
Series DDBO FEB3 Issue of EUR 4,351,000 Notes due 29th March 2024
Series DDBO FEB6 Issue of EUR 5,224,000 DDBO FEB6 due 30th April 2024
Series DDBO FEB9 Issue of EUR 2,907,000 due 30th April 2024
Series DDBO FEBB Issue of EUR 3,518,000 DDBO FEBB due 07th May 2024
Series DDBO FEBC Issue of EUR 3,484,000 DDBO FEBC due 10 May 2024
Series DDBO FEBF Issue of EUR 3,455,000 DDBO FEBF due 14th May 2024
Series DDBO FEC3 Issue of EUR 3,744,000 DDBO FEC3 due 29th May 2024
Series DDBO FEC9 Issue of EUR 3,531,000 Notes due 29 June 2024
Series DDBO FECA Issue of EUR 3,918,000 Notes due 29 June 2024
Series DDBO FECC Issue of EUR 3,262,000 Notes due 20th July 2024
Series DDBO FECE Issue of EUR 2,231,000 Notes due 29th July 2024
Series DDBO FED0 Issue of EUR 2,860,000 DDBO FED0 due 29 July 2024
Series DDBO FED3 Issue of EUR 3,116,000 DDBO FED3 due 30 August 2024
Series DDBO FEE3 Issue of EUR 1,000,000 DDBO FEE3 due 15 April 2024
Series DDBO FEEC Issue of EUR 8,462,000 Notes due 31 December 2024
Series DDBO FEED Issue of EUR 1,805,000 due 31 December 2024.
Series No. CR0008Q7 Issue of EUR 1,316,000 DANSKE 08Q7 Autocallable 2025
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Danske Bank A/S EUR 30,000,000,000 Global Covered Bond Programme
EUR 30,000,000,000 Global Covered Bond Programme - DANSKE BANK A/S
U.S.$ 20,000,000,000 U.S. Medium-Term Note Program
EUR 5,000,000,000 STRUCTURED NOTE PROGRAMME
EUR 35,000,000,000 EURO MEDIUM TERM NOTE PROGRAMME - Danske Bank A/S
SECURITIES
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CR000C8P Issue of EUR 1,298,000.00 Equity-Linked Redemption Notes
CR00081F Issue of EUR 6,937,000 DANSKE 081F Autocallable due 8 March 2025
CR000817B EUR 2,342,000 0817 Indeksiobligaatio Eettinen Eurooppa 5 T due 28 March 2024
DDBO FEB2 Issue of EUR 3,104,000 DDBO FEB2 due 29 March 2024
S - USD750,000,000 Perpetual Non-cumulative Resettable Additional Tier 1 Convertible Capital Notes
S - USD 750,000,000 Perpetual Non-cumulative Resettable Additional Tier 1 Convertible Capital Notes
S - USD 750000000 Perpetual Non-cumulative Resettable Additional Tier 1 Convertible Capital Notes
SERIES CR000BYW Issue of EUR 1,179,000.00 Equity-Linked Redemption
Series 015 Issue of USD 500,000,000 4.375 Percent Non-Preferred Senior Notes due 12 June 2028
Series 024 Issue of U.S.$ 750,000,000 1.621 Percent Non-Preferred Senior Callable Notes due 2026 (144A)
Series 024 Issue of U.S.$ 750,000,000 1.621 Percent Non-Preferred Senior Callable Notes due 2026 (Reg S)
Series 025 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2025 (Reg S)
Series 025 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2025 (Rule 144A)
Series 026 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2027 (Reg S)
Series 026 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2027 (Rule 144A)
Series 027 Series 27 Issue of U.S.$ 750,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2025 (Reg S)
Series 027 Series 27 Issue of U.S.$ 750,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2025 (Rule 144A)
Series 028 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2028 (Reg S)
Series 028 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2028 (Rule 144A)
Series 029 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2026
Series 029 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2026 (Reg S)
Series 030 U.S.$1,250,000,000 Preferred Senior Fixed Rate Resettable Notes due 2026 (144A)
Series 030 U.S.$1,250,000,000 Preferred Senior Fixed Rate Resettable Notes due 2026 (Reg S)
Series 031 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2028 Regulation S
Series 031 Issue of U.S.$ 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2028 Rule 144A
Series 032 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2030 Regulation S
Series 032 Issue of U.S.$ 1,250,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2030 Rule 144 A
Series 19 Issue of U.S.$ 750,000,000 3.244 Percent Non-Preferred Senior Callable Fixed-To-Floating Rate Notes due 2025(144A)
Series 19 Issue of U.S.$ 750,000,000 3.244 Percent Non-Preferred Senior Callable Fixed-To-Floating Rate Notes due 2025(Reg S)
Series 127-D Issue of EUR 75,000,000 0.929 per cent Covered Bonds due 10 June 2025
Series 135-D Issue of EUR 48000000 1.636 per cent. Covered Bond due 23rd June 2036
Series 142-I Issue of EUR 80,000,000 0.805 per cent. Covered Bonds due 12 August 2036
Series 147-D Issue of EUR 10,000,000 0. 750 per cent Covered Bonds due 2027
Series 149-C Issue of EUR 500,000,000 0.750 per cent. Covered Bonds due 22nd November 2027
Series 150-D Issue of EUR 30,000,000 1.490 per cent. Covered Bonds due 15 February 2038
Series 152-D Issue of EUR 100,000,000 1.389 per cent. Covered Bonds due 25 May 2033
Series 153-D Issue of EUR 50,000,000 1.544 per cent. Covered Bonds due 25th May 2038
Series 159-C Issue of EUR 1,000,000,000 0.63 per cent. Covered Bonds due 17 December 2025
Series 162-D Issue of EUR 1,000,000,000 0.01 per cent Covered Bonds due 2025
Series 166-I Issue of EUR 1,000,000,000 0.01 per cent. Covered Bonds due 2025
Series 169-C Issue of EUR 1,000,000,000 2.875 per cent. Covered Bonds due 2026
Series 172-D Issue of EUR 1,250,000,000 3.25 per cent. Covered Bonds due 2027
Series 173-D Issue of EUR 1,000,000,000 3.25 per cent. Covered Bonds due 2028
Series 586 Issue of EUR 25,000,000 1.223 per cent. Notes due 23 March 2026
Series 618 Issue of EUR 61,300,000 2.059 per cent. Non-Preferred Senior Notes due 28th June 2033
Series 619 Issue of EUR 50,000,000 2.03 per cent. Non-Preferred Senior Notes due 21 December 2032
Series 621 Issue of EUR 60,000,000 2.091 per cent. Non -Preferred Senior Notes due 7 August 2032
Series 622 Issue of JPY 10,000,000,000 0.07 per cent. Non-Preferred Senior Notes due 23 August 2038
Series 631 Issue of EUR 750,000,000 Subordinated Fixed Rate Resettable Tier 2 Notes due 21 June 2029
Series 634 Issue of NOK 375,000,000 3.65 per cent. Non-Preferred Senior Notes due 15 May 2029
Series 635 Issue of NOK 250,000,000 3.20 per cent. Non-Preferred Senior Notes due 15 May 2024
Series 637 EUR 1,000,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2025
Series 638 NOK 450,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2030
Series 639 Issue of JPY 5,000,000,000 0.91 per cent. Non-Preferred Senior Callable Fixed-to-Floating Rate Notes due 2039
Series 640 NOK 350,000,000 2.735 per cent. Non Preferred Senior Notes due 2024
Series 641 NOK 600,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2025
Series 642 NOK 750,000,000 Non-Preferred Senior Callable Fixed-to-Floating Rate Notes due 2025
Series 643 Issue of EUR 750,000,000 Subordinated Fixed Rate Resettable Tier 2 Notes due 2030
Series 644 SEK 1,000,000,000 Subordinated Floating Rate Tier 2 Notes due 2029
Series 645 Issue of GBP 750,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2028
Series 647 Issue of NOK 1,500,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2026
Series 649 Issue of EUR 75,000,000 Non-Preferred Senior Fixed Rate Resettable Notes due 2026
Series 650 Issue of EUR 1,000,000,000 0.625 per cent. Preferred Senior Notes due 2025
Series 651 NOK 1,750,000,000 Preferred Senior Callable Floating Rate Notes due 2026
Series 656 Issue of EUR 500,000,000 Subordinated Fixed Rate Resettable Tier 2 Notes due 2030
Series 658 Issue of EUR 750,000,000 Subordinated Fixed Rate Resettable Tier 2 Notes due 2031
Series 659 Issue of NOK 500,000,000 Preferred Senior Floating Rate Notes due 2026
Series 661 Issue of EUR 500,000,000 Non-Preferred Senior Fixed Rate Resettable Green Bonds due june 2029
Series 663 Issue of NOK 1,000,000,000 Preferred Senior Callable Floating Rate Notes due 2025
Series 664 Issue of SEK 250,000,000 Preferred Senior Callable Floating Rate Notes due 2025
Series 664 Issue of SEK 750,000,000 Preferred Senior Callable Floating Rate Notes due 2025
Series 665 Issue of NOK 500,000,000 Preferred Senior Callable Fixed-to-Floating Rate Notes due 2027
Series 666 SEK 700,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2027
Series 668 Issue of NOK 700,000,000 Preferred Senior Callable Fixed-to-Floating Rate Notes due 2026
Series 670 Issue of EUR 750,000,000 Non-Preferred Senior Fixed Rate Resettable Green Bonds due 2027
Series 671 Issue of NOK 750,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2028
Series 672 Issue of NOK 250,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2027
Series 673 Issue of SEK 700,000,000 Preferred Senior Callable Fixed-to-Floating Rate Notes due 2025
Series 674 Issue of SEK 250,000,000 Preferred Senior Callable Floating Rate Notes due 2025
Series 675 EUR 1,000,000,000 Preferred Senior Fixed Rate Resettable Notes due 2027
Series 676 EUR 1,000,000,000 Preferred Senior Fixed Rate Resettable Green Bonds due 2031
Series 677 GBP 750,000,000 Preferred Senior Fixed Rate Resettable Notes due 2027
Series 678 Issue of NOK 1,250,000,000 Preferred Senior Callable Fixed-to-Floating Rate Notes due 2031
Series 679 Issue of SEK 1,200,000,000 Preferred Senior Floating Rate Callable Green Bonds due 2026
Series 680 Issue of SEK 800,000,000 Preferred Senior Fixed-to-Floating Rate Callable Green Bonds due 2026
Series 681 Issue of SEK 500,000,000 Preferred Senior Fixed-to-Floating Rate Callable Green Bonds due 2028
Series 682 Issue of EUR 1,000,000,000 Non-Preferred Senior Fixed-to-Fixed Rate Resettable Green Bonds due 2030
Series 683 Issue of EUR 375,000,000 Preferred Senior Floating Rate Notes due 2025
Series 684 Issue of GBP 350,000,000 Preferred Senior Fixed-to-Fixed Rate Resettable Notes due 2028
Series 685 Issue of SEK 600,000,000 Preferred Senior Floating Rate Notes due 2027
Series 686 Issue of SEK 750,000,000 Preferred Senior Fixed-to-Floating Rate Callable Notes due 2026
Series 687 Issue of EUR 500,000,000 Non-Preferred Senior Fixed-to-Fixed Rate Resettable Green Bonds due 2028
Series 688 Issue of NOK 2,600,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2029
Series 689 Issue of SEK 800,000,000 Non-Preferred Senior Callable Floating Rate Notes due 2026
Series 690 Issue of NOK 450,000,000 Non-Preferred Senior Fixed-to-Floating Rate Callable Notes due 2029
Series 691 Issue of SEK 750,000,000 Preferred Senior Floating Rate Callable Notes due 2026
Series 692 Issue of EUR 750,000,000 Non-Preferred Senior Fixed-to-Fixed Rate Resettable Notes due 2032
Series 693 EUR 750,000,000 Subordinated Fixed Rate Resettable Tier 2 Notes due 2034
Series CR000B0P Issue of EUR 2,681,000.00 Equity-Linked Redemption Notes due 2026
Series CR000B3F Issue of EUR 1,655,000.00 Equity-Linked Redemption Notes due June 2025
Series CR000B8Y Issue of EUR 2,140,000 Equity-Linked Redemption Notes due 2025
Series CR000B11 Issue of EUR 2,199,000.00 Index-Linked Redemption Notes due June 2025.
Series CR000B13 Issue of EUR 1,531,000 0B13 Indeksiobligaatio Suomi 10
Series CR000B28 Issue of EUR 5,000 dated 15 July 2025
Series CR000B31 Issue of EUR 1,846,000 DANSKE 0B31 Sprinter 2025
Series CR000B47 Issue of EUR 3,753,000 Equity-Linked Redemption Notes due 2025
Series CR000BB5 Issue of EUR 601,000.00 Equity-Linked Redemption Notes due 2025
Series CR000BBC Issue of EUR 5,356,000.00 Equity-Linked Redemption Notes due 2026
Series CR000BCX Issue of EUR 2,725,000 0BCX Osakeobligaatio Terveys 8
Series CR000BFT Issue of EUR 3,903,000.00 Equity-Linked Redemption Notes due 2026
Series CR000BFX Issue of EUR 1,179,000.00 Equity-Linked Redemption Notes due 2025
Series CR000BGG Issue of EUR 1,167,000.00 Equity-Linked Redemption Notes
Series CR000BJS Issue of EUR 1,315,000.00 Equity-Linked Redemption Notes due 2025
Series CR000BK0 Issue of EUR Up to 4,452,000.00 Equity-Linked Redemption Notes due 2026
Series CR000BKH Issue of EUR 3,276,000 Equity-Linked Redemption Notes due 2026
Series CR000BKS Issue of EUR 1,655,000.00 Equity-Linked Redemption Notes
Series CR000BN5 Issue of EUR 2,335,000.00 Equity-Linked Redemption Notes due 2025
Series CR000BN8 Issue of EUR 1,150,000 Equity-Linked Redemption Notes
Series CR000BP7 Issue of EUR823,000 0BP7 Osakeobligaatio Pohjois-Eurooppa 2, ISIN: DK0030472295
Series CR000BQC Issue of EUR 2,603,000.00 Equity-Linked Redemption Notes due 2026
Series CR000BQD Issue of EUR 5,475,000.00 DANSKE 0BQD Autocallable 2026
Series CR000BR7 Issue of EUR 1,345,000.00 0BR7 Osakeobligaatio Telecom 3
Series CR000BRK Issue of EUR 5,922,000.00 DANSKE 0BRK Autocallable 2026
Series CR000BS9 Issue of EUR 719,000.00 Index-Linked Redemption
Series CR000BSG Issue of EUR 1,117,000.00 Equity-Linked Redemption Notes due 2027
Series CR000BT7 Issue of EUR 661,000.00 Equity-Linked Redemption
Series CR000BT8 Issue of EUR 2,100,000.00 Equity-Linked Redemption Notes
Series CR000BTM EUR 1,934,000 Equity-Linked Redemption Notes CR000BTM
Series CR000BTQ Issue of EUR 4,294,000.00 Equity-Linked Redemption Notes due 2027.
Series CR000BTX Issue of 1,934,000.00 Notes DANSKE 0BTX Sprinter 2026 , ISIN: FI4000480199
Series CR000BV2 Issue of EUR 716,000.00 Equity-Linked Redemption Notes
Series CR000BV3 Issue of EUR 275000.00 Equity-Linked Redemption Notes.
Series CR000BW7 Issue of EUR 170,000.00 Equity-Linked Redemption Notes due 2026
Series CR000BW9 Issue of EUR 1,520,000.00 Equity-Linked Redemption Notes
Series CR000BWL Issue of EUR 200,000.00 Index-Linked Redemption Notes
Series CR000BWV Issue of EUR 2,221,000.00 Equity-Linked Redemption
Series CR000BX7 Issue of EUR 4,058,000.00 Equity-Linked Redemption
Series CR000BXL Issue of EUR 9,397,000.00 DANSKE Equity-Linked Redemption Notes due 2027
Series CR000BXM Issue of EUR 4,600,000.00 Equity-Linked Redemption Notes
Series CR000BXX Issue of EUR 995,000.00 Equity-Linked Redemption
Series CR000BXY Issue of EUR 1,750,000 Equity-Linked Redemption Notes
Series CR000BY4 Issue of EUR 4,264,000.00 Equity-Linked Redemption Notes
Series CR000BYB Issue of EUR 447,000.00 Equity-Linked Redemption
Series CR000BYK Issue of EUR 1,275,000.00 Equity-Linked Redemption
Series CR000BYM Issue of EUR 4,163,000 Equity-Linked Redemption Notes.
Series CR000BYQ Issue of EUR 633,000.00 Equity-Linked Redemption
Series CR000BYR Issue of EUR 526,000.00 Equity-Linked Redemption Notes CR000BYR (the "Notes")
Series CR000BYV Issue of EUR 4,216,000.00 Equity-Linked Redemption Notes
Series CR000BZ2 Issue of EUR 2,159,000.00 Equity-Linked Redemption Notes due 2027
Series CR000BZ3 Issue of EUR 711,000.00 Equity-Linked Redemption Notes CR000BZ3
Series CR000BZ9 Issue of EUR 7,390,000 Equity-Linked Redemption Notes
Series CR000BZC Issue of EUR 4,046,000.00 Equity-Linked Redemption Notes due 2027
Series CR000BZX Issue of EUR 5,374,000.00 Equity-Linked Redemption Notes
Series CR000C0G Issue of EUR 1,095,000 DANSKE 0C0G Autocallable 2026, ISIN: FI4000506837
Series CR000C0M Issue of EUR 4,595,000.00 Equity-Linked Redemption
Series CR000C0P Issue of 3,096,000 Equity-Linked Redemption Notes CR000C0P
Series CR000C0X Issue of EUR 3,640,000 Equity-Linked Redemption Notes
Series CR000C0Y Issue of EUR 2,078,000.00 Equity-Linked Redemption Notes
Series CR000C00 Issue of EUR 624,000 Equity-Linked Redemption Notes CR000C00
Series CR000C01 Issue of EUR 595,000.00 Equity-Linked Redemption Notes.
Series CR000C02 Issue of EUR 670,000.00 Equity-Linked Redemption Notes
Series CR000C07 Issue of EUR 275,000 Index-Linked Redemption Notes
Series CR000C1V Issue of EUR 4,462,000.00 Equity-Linked Redemption Notes due 2027.
Series CR000C1X Issue of EUR 566,000.00 Equity-Linked Redemption Notes CR000C1X
Series CR000C1Y Issue of EUR 540,000.00 Index-Linked Redemption Notes CR000C1Y
Series CR000C2C Issue of EUR 5,118,000.00 Equity-Linked Redemption
Series CR000C2G Issue of EUR 1,675,000.00 Equity-Linked Redemption Notes
Series CR000C2P Issue of EUR 4,586,000.00 Equity-Linked Redemption Notes
Series CR000C3L Issue of EUR 5,056,000.00 Equity-Linked Redemption Notes
Series CR000C3X Issue of EUR 2,292,000.00 Equity-Linked Redemption Notes
Series CR000C3Z Issue of EUR 5,450,000.00 Equity-Linked Redemption Notes
Series CR000C4B Issue of EUR 594,000.00 Index-Linked Redemption Notes CR000C4B
Series CR000C4M Issue of EUR 768,000.00 Equity-Linked Redemption Notes CR000C4M
Series CR000C4N Issue of EUR 5,445,000.00 Equity-Linked Redemption Notes
Series CR000C4P Issue of EUR 5,344,000.00 Equity-Linked Redemption Notes
Series CR000C4W Issue of EUR 1,337,000.00 Equity-Linked Redemption Notes
Series CR000C5G Issue of EUR 4,292,000.00 Equity-Linked Redemption Notes CR000C5G
Series CR000C5H Issue of EUR 3,273,000 Equity-Linked Redemption Notes
Series CR000C5K Issue of EUR 1,725,000.00 Equity-Linked Redemption Notes CR000C5K
Series CR000C6S Issue of EUR 1,833,000.00 Equity-Linked Redemption Notes CR000C6S
Series CR000C6T Issue of EUR 1,985,000.00 Equity-Linked Redemption Notes CR000C6T
Series CR000C7C Issue of EUR 745,000.00 Equity-Linked Redemption Notes CR000C7C
Series CR000C7J Issue of EUR 5,387,000.00 Equity-Linked Redemption Notes CR000C7J
Series CR000C7Y Issue of EUR 5,696,000.00 Equity-Linked Redemption Notes
Series CR000C8B Issue of 370,000.00 Index-Linked Redemption Notes
Series CR000C8H Issue of EUR 565,000.00 Equity-Linked Redemption Notes CR000C8H
Series CR000C8M Issue of EUR 1,324,000.00 Index-Linked Redemption Notes
Series CR000C8R Issue of EUR 4,226,000.00 Equity-Linked Redemption Notes
Series CR000C9F Issue of EUR 4,205,000 Equity-Linked Redemption Notes
Series CR000C9M Issue of EUR 1,155,000.00 Credit-Linked Redemption Notes
Series CR000C9X Issue of EUR 750,000.00 Equity-Linked Redemption Notes
Series CR000C13 Issue of EUR 746,000.00 Equity-Linked Redemption Notes CR000C13
Series CR000C26 Issue of EUR 743,000.00 Equity-Linked Redemption Notes CR000C26
Series CR000C34 Issue of EUR 478,000.00 Equity-Linked Redemption Notes
Series CR000C52 Issue of EUR 4,988,000.00 Equity-Linked Redemption Notes
Series CR000C57 Issue of EUR 221,000.00 Equity-Linked Redemption Notes
Series CR000C59 Issue of EUR 665,000.00 Index-Linked Redemption Notes CR000C59
Series CR000C65 Issue of EUR 568,000.00 0C65 Equity-Linked Redemption Notes
Series CR000C69 Issue of EUR 2,775,000.00 Equity-Linked Redemption Notes CR000C69
Series CR000C71 Issue of EUR 4,143,000.00 Equity-Linked Redemption Notes CR000C71
Series CR000C78 Issue of EUR 1,376,000.00 Index-Linked Redemption Notes
Series CR000C79 Issue of EUR 1,382,000.00 Equity-Linked Redemption Notes CR000C79
Series CR000C80 Issue of EUR 3,314,000.00 Equity-Linked Redemption Notes
Series CR000C81 Issue of EUR 4,068,000.00 Equity-Linked Redemption Notes
Series CR000C83 Issue of EUR 3,127,000.00 Equity-Linked Redemption Notes
Series CR000CB5 Issue of EUR 4,187,000.00 Equity-Linked Redemption Notes
Series CR000CB9 Issue of EUR 4,250,000.00 Equity-Linked Redemption Notes
Series CR000CBD Issue of EUR 1,007,000.00 Index-Linked Redemption Notes
Series CR000CBF Issue of EUR 2,841,000.00 Index-Linked Redemption Notes
Series CR000CBK Issue of EUR 3,608,000.00 Equity-Linked Redemption Notes
Series CR000CBL Issue of EUR 600,000.00 Index-Linked Redemption Notes
Series CR000CBQ Issue of EUR 1,355,000.00 Equity-Linked Redemption Notes
Series CR000CCP Issue of EUR 1,203,000.00 Equity-Linked Redemption Notes
Series CR000CCQ Issue of EUR 455,000.00 Equity-Linked Redemption Notes
Series CR000CCS Issue of EUR 2,000,000.00 Credit-Linked Redemption Notes
Series CR000CD4 Issue of EUR 1,533,000.00 Index-Linked Redemption Notes
Series CR000CDH Issue of EUR 125,000.00 Credit-Linked Redemption Notes
Series CR000CDJ Issue of EUR 1,000,000.00 Credit-Linked Redemption Notes
Series CR000CDX Issue of EUR 847,000.00 Equity-Linked Redemption Notes
Series CR000CF0 Issue of EUR 180,000.00 Credit-Linked Redemption Notes
Series CR000CF4 Issue of EUR 2,084,000.00 Equity-Linked Redemption Notes
Series CR000CF7 Issue of EUR 2,878,000.00 Equity-Linked Redemption Notes
Series CR0007YR Issue of EUR 4,375,000 CR0007YR FI4000359526 due 31 January 2025
Series CR0008HZ Issue of EUR 5,058,000 DANSKE 08HZ Autocallable 2025 , ISIN: FI4000375506 due 29 May 2025
Series CR0008J6 Issue of EUR 4,961,000 DANSKE 08J6 Osakeobligaatio Eurooppa, ISIN: DK0030443270 due 31 May 2024
Series CR0008K5 Issue of EUR 3,069,000 DANSKE 08K5 Osakeobligaatio Suomi 12 T due 19 June 2024
Series CR0008KZ Issue of EUR 6,364,000 DANSKE 08KZ Autocallable 28 June 2025
Series CR0008L1 Issue of EUR 2,032,000 DANSKE 08L1 Autocallable 28 June 2025
Series CR0008LH EUR 6,562,000 DANSKE 08LH Osakeobligaatio Pohjoismaat
Series CR0008MD EUR 988,000 DANSKE 08MD Osakeobligaatio Eurooppa Suuryhtiöt -Maltillinen
Series CR0008MF EUR 2,370,000 DANSKE 08MF Osakeobligaatio Eurooppa Suuryhtiöt -Tuottohakuinen
Series CR0008MK Issue of EUR 4,303,000 DANSKE 08MK Autocallable 2025
Series CR0008NN EUR 3,720,000 DANSKE 08NN Osakeobligaatio Suomi 13 90%
Series CR0008PL Issue of 08PL Osakeobligaatio Maailma 29, ISIN: DK0030448907
Series CR0008QD Issue of EUR 4,468,000 DANSKE 08QD Osakeobligaatio Pohjoismaat 2 Notes due 18 October 2024
Series CR0008QF Issue of EUR 2,974,000 DANSKE 08QF Autocallable 2025
Series CR0008RC Issue of EUR 2,954,000 08RC Indeksiobligaatio Puhtaampi Eurooppa,
Series CR0008RD EUR 1,850,000 DANSKE 08RD Autocallable 2024
Series CR0008RR Issue of EUR 1,000,000 DANSKE 08RR Sprinter 2019
Series CR0008S9 Issue of EUR 6,031,000 Osakeobligaatio Suomi-Ruotsi VI
Series CR0008SD Issue of DANSKE 08SD Autocallable 2025
Series CR0008SH Issue of EUR 3,763,000.00 DANSKE 08SH Autocallable 2025
Series CR0008T6 Issue of EUR 2,310,000 DANSKE 08T6 Nokian Renkaat AC 2
Series CR0008V2 Issue of EUR 2,868,000.00 08V2 Osakeobligaatio Kulutustuotteet
Series CR0008VH Issue of EUR 2,042,000 DANSKE 08VH Autocallable 2025
Series CR0008XJ Issue of DANSKE 08XJ Osakeobligaatio Suomi 14 90%
Series CR00080C Issue of EUR 2,380,000 due 01 March 2025
Series CR00080L Issue of EUR 3,070,000 Notes due 1 March 2025
Series CR000816A EUR 985,000 DANSKE 0816 Indeksiobligaatio Eettinen Eurooppa 5 M due 28 March 2024
Series CR00085X Issue of EUR 5,191,000 DANSKE 085X Osakeobligaatio Suomi 11 90% due 19 April 2024
Series CR000855 Issue of EUR 6,097,000 Danske 0855 Autocallable due 28 March 2025
Series CR000856 Issue of EUR 5,157,000 DANSKE 0856 Autocallable due 28 March 2025
Series CR00086T Issue of EUR 3,346,000 086T Osakeobligaatio Terveys 5 Tuottohakuinen 07 May 2024
Series CR00086Y Issue of EUR 2,883,000 DANSKE 086Y Autocallable 2025 , ISIN: FI4000369996 due 29 April 2025
Series CR000860. Issue of EUR 6,352,000 DANSKE 0860 Autocallable due 05 April 2025
Series CR00087T Issue of EUR 5,220,000 DANSKE 087T Autocallable 2025 , ISIN: FI4000375266 due 29 April 2025
Series CR000877 Issue of EUR 3,040,000 DANSKE 0877 Autocallable 2025 , ISIN: FI4000375068 due 2 May 2025
Series CR000886 Issue of EUR 2,000,000 DANSKE 0886 Autocallable Notes due 24 April 2024
Series CR0009BW Issue of EUR 3,371,000 Equity-Linked Redemption Notes due 2025
Series CR0009C3 Issue of EUR 2,616,000.00 Equity-Linked Redemption Notes due 2026
Series CR0009C5 Issue of EUR 6,259,000 Equity-Linked Redemption Notes due 2026
Series CR0009CC Issue of USD2,641.32 Credit-Linked Redemption Notes due 2025
Series CR0009JS Issue of up to EUR 50,000,000 Credit-Linked Redemption Notes due January 15, 2025
Series CR0009JV Issue of EUR 917,000 09JV Osakeobligaatio Ruotsi, due 24 April 2025
Series CR0009L0 Issue of EUR453,000 Equity-Linked Redemption due 2026
Series CR0009ML Issue of EUR 1,745,000 Equity-Linked Redemption Notes due 2026
Series CR0009MZ Issue of EUR 3,300,000 CR0009MZ
Series CR0009NR Issue of EUR Up to 3,000,000 Credit-Linked Redemption Notes due 2025
Series CR0009Q9 Issue of EUR 2,200,000 DANKE 09Q9 CLN Tranche 2025
Series CR0009R3 Issue of EUR 1,792,000 Equity-Linked Redemption Notes due 19 May 2025
Series CR0009SZ Issue of EUR 5,255,000 Equity-Linked Redemption Notes due 2025
Series CR0009TB Issue of EUR 1,050,000 DANSKE 09TB CLN Tranche due January 2025
Series CR0009WS Issue of EUR 1,205,000 Index-Linked Redemption Notes
Series CR0009X5 Issue of EUR 1,625,000 Equity-Linked Redemption Notes due April 2025
Series CR0009Y8 Issue EUR 3,558,000 Equity-Linked Redemption due 2025
Series CR0009YD Issue of EUR 3,105,000.00 Equity-Linked Redemption Notes due 2025
Series CR0009YF Issue of EUR 1,795,000 DANSKE 09YF CLN Tranche 2025
Series CR00090W Issue of EUR 2,048,000.00 Notes DANSKE 090W Osakeobligaatio Kulutustuotteet 2
Series CR00091R Issue of EUR 1,698,000.00 notes due 2026
Series CR00093Y Issue of 3,740,000 Equity-Linked Redemption Notes due 2025
Series CR00094G Issue of €18,382.52 DANSKE 094G Luottokorilaina Eurooppa HY USD , ISIN: XS2096663914
Series CR00095T Issue of EUR 7,322,000 DANSKE 095T Autocallable 2026
Series CR00097L Issue of up to EUR 50,000,000.00 Index-Linked Redemption Notes due 2025
Series CR000986 Issue of up to EUR 1,255,000.00 Equity-Linked Redemption Notes due 2025
Series CR00099P Issue of Up to EUR 1,803,000 Equity-Linked Redemption Notes due 2026
Series DDBO DE2EB Issue of SEK 31,130,000; DDBO DE2EB due 16th June 2025
Series DDBO DE307 Issue of 2,500,000 DDBO DE307 due 12 June 2028
Series DDBO DE307 Issue of EUR 5,000,000 DDBO DE307 due 12 June 2028
Series DDBO FEAF Issue of EUR 3,552,000 DDBO FEAF due 29 March 2024
Series DDBO FEB3 Issue of EUR 4,351,000 Notes due 29th March 2024
Series DDBO FEB6 Issue of EUR 5,224,000 DDBO FEB6 due 30th April 2024
Series DDBO FEB9 Issue of EUR 2,907,000 due 30th April 2024
Series DDBO FEBB Issue of EUR 3,518,000 DDBO FEBB due 07th May 2024
Series DDBO FEBC Issue of EUR 3,484,000 DDBO FEBC due 10 May 2024
Series DDBO FEBF Issue of EUR 3,455,000 DDBO FEBF due 14th May 2024
Series DDBO FEC3 Issue of EUR 3,744,000 DDBO FEC3 due 29th May 2024
Series DDBO FEC9 Issue of EUR 3,531,000 Notes due 29 June 2024
Series DDBO FECA Issue of EUR 3,918,000 Notes due 29 June 2024
Series DDBO FECC Issue of EUR 3,262,000 Notes due 20th July 2024
Series DDBO FECE Issue of EUR 2,231,000 Notes due 29th July 2024
Series DDBO FED0 Issue of EUR 2,860,000 DDBO FED0 due 29 July 2024
Series DDBO FED3 Issue of EUR 3,116,000 DDBO FED3 due 30 August 2024
Series DDBO FEE3 Issue of EUR 1,000,000 DDBO FEE3 due 15 April 2024
Series DDBO FEEC Issue of EUR 8,462,000 Notes due 31 December 2024
Series DDBO FEED Issue of EUR 1,805,000 due 31 December 2024.
Series No. CR0008Q7 Issue of EUR 1,316,000 DANSKE 08Q7 Autocallable 2025
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