| 11/07/25 | 15:53:25 | 11 Jul 2025 | | Publication of Final Terms |
| 07/07/25 | 09:23:19 | 7 Jul 2025 | | Redemption of Securities |
| 03/07/25 | 17:14:56 | 3 Jul 2025 | | Publication of a Base Prospectus |
| 03/07/25 | 17:14:46 | 3 Jul 2025 | | Publication of a Registration Document |
| 03/07/25 | 15:40:12 | 3 Jul 2025 | | Publication of a Prospectus |
| 02/07/25 | 17:04:12 | 2 Jul 2025 | | Publication of Final Terms |
| 02/07/25 | 16:58:10 | 2 Jul 2025 | | Implementation Date Announcement - Senior Notes |
| 02/07/25 | 16:52:18 | 2 Jul 2025 | | Implementation Date Announcement - Tier 2 Notes |
| 02/07/25 | 16:49:31 | 2 Jul 2025 | | Implementation Date Announcement - Tier 2 Notes |
| 25/06/25 | 13:44:31 | 25 Jun 2025 | | Consent Solicitation - Results (XS2667626233) |
| 25/06/25 | 13:39:40 | 25 Jun 2025 | | Consent Solicitation - Results (XS2585239200) |
| 25/06/25 | 13:39:39 | 25 Jun 2025 | | Consent Solicitation - Results (XS2757511113) |
| 25/06/25 | 13:33:02 | 25 Jun 2025 | | Consent Solicitation - Results (XS2049149821) |
| 25/06/25 | 13:30:44 | 25 Jun 2025 | | Consent Solicitation - Results (XS2343851510) |
| 20/06/25 | 09:02:21 | 20 Jun 2025 | | Redemption of Securities |
| 11/06/25 | 10:55:01 | 11 Jun 2025 | | Tender Offer - Results Announcement |
| 06/06/25 | 16:56:26 | 6 Jun 2025 | | Publication of Offering Circular |
| 04/06/25 | 12:02:57 | 4 Jun 2025 | | Tender Offer - Maximum Acceptance Amount |
| 04/06/25 | 09:26:34 | 4 Jun 2025 | | Stabilisation Notice |
| 03/06/25 | 09:21:19 | 3 Jun 2025 | | Stabilisation Notice |
| 03/06/25 | 08:45:35 | 3 Jun 2025 | | Consent Solicitation - Launch Announcement |
| 03/06/25 | 08:43:58 | 3 Jun 2025 | | Tender Offer - Launch Announcement |
| 03/06/25 | 08:41:25 | 3 Jun 2025 | | Consent Solicitation - Notice to Noteholders |
| 29/05/25 | 17:38:41 | 29 May 2025 | | CB PLC Annual Report & Accs period end 31 Mar 2025 |
| 29/05/25 | 17:35:33 | 29 May 2025 | | VMUK Annual Report & Accs period end 31 Mar 2025 |
| 29/05/25 | 14:42:30 | 29 May 2025 | | Publication of Supplement |
| 29/05/25 | 07:00:05 | 29 May 2025 | | Preliminary Results Announcement |
| 23/05/25 | 09:00:00 | 23 May 2025 | | Update to Stated Post Offer Intention |
| 22/05/25 | 07:25:44 | 22 May 2025 | | Redemption of Securities |
| 07/05/25 | 14:19:25 | 7 May 2025 | | Publication of Final Terms |
| 28/04/25 | 15:24:57 | 28 Apr 2025 | | Publication of Final Terms |
| 22/04/25 | 09:45:01 | 22 Apr 2025 | | Post Stabilisation Notice Nationwide € 7yr Covered |
| 24/03/25 | 14:36:23 | 24 Mar 2025 | | Publication of Final Terms |
| 17/03/25 | 09:16:16 | 17 Mar 2025 | | Pre Stabilisation Notice Nationwide € 7yr Covered |
| 11/03/25 | 07:00:03 | 11 Mar 2025 | | Announcement |
| 27/02/25 | 14:19:21 | 27 Feb 2025 | | Publication of Final Terms |
| 10/02/25 | 09:00:07 | 10 Feb 2025 | | Notice of Redemption of Securities |
| 31/01/25 | 15:37:34 | 31 Jan 2025 | | Publication of Final Terms |
| 23/01/25 | 16:27:52 | 23 Jan 2025 | | Publication of Final Terms |
| 23/01/25 | 16:24:22 | 23 Jan 2025 | | Publication of Final Terms |
| 23/01/25 | 14:01:00 | 23 Jan 2025 | | Virgin Money UK PLC Directorate Change |
| 14/01/25 | 13:46:16 | 14 Jan 2025 | | Publication of Final Terms |
| 09/01/25 | 17:31:15 | 9 Jan 2025 | | Publication of Final Terms |
| 11/12/24 | 11:03:05 | 11 Dec 2024 | | Publication of Supplement |
| 27/11/24 | 07:00:07 | 27 Nov 2024 | | Interim Financial Report to 30 September 2024 |
| 27/11/24 | 07:00:07 | 27 Nov 2024 | | Redemption of Additional Tier 1 Capital Securities |
| 27/11/24 | 07:00:05 | 27 Nov 2024 | | Half-year Report |
| 13/11/24 | 12:00:01 | 13 Nov 2024 | | Directorate Change |
| 15/10/24 | 09:19:55 | 15 Oct 2024 | | Post Stabilisation Notice - Nationwide GBP AT1 |
| 03/10/24 | 15:59:33 | 3 Oct 2024 | | Consideration Exchange Rates for Virgin Money UK |