- Title:
Admission to Trading - 07/04/2026 - Time:
08:00:00 - Date:
7 Apr 2026 - Category:
London Stock Exchange Notice - ID:
3337Z
NOTICE OF ADMISSION TO TRADING ON THE LONDON STOCK EXCHANGE
07/04/2026 - 08:00
The following securities are admitted to trading on the LSE with effect from the time and date of this notice
|
21SHARES AG |
||
|
30,000 |
21SHARES ETHEREUM CORE STAKING EXCHANGE TRADED PRODUCT (ETHC) FULLY PAID |
(BRRH2F1)(CH1209763130) |
|
AMUNDI PHYSICAL METALS PLC |
||
|
400,000 |
AMUNDI PHYSICAL GOLD ETC SECURITIES DUE 23/05/2118 FULLY PAID |
(BLKQKY8)(FR0013416716) |
|
BARCLAYS BANK PLC |
||
|
USD2,000,000 |
Securities due 03/04/2028 fully paid (Bearer, USD) |
(BS88V86)(XS3305451273) |
|
CAIRN HOMES PLC |
||
|
3,426,403 |
ORDINARY SHARES OF EUR0.001 EACH FULLY PAID (CDI) |
(BWY4ZF1)(IE00BWY4ZF18) |
|
CALCULUS VCT PLC |
||
|
5,718,593 |
ORDINARY SHARES OF 1P EACH FULLY PAID |
(BYQPF34)(GB00BYQPF348) |
|
CANADIAN IMPERIAL BANK OF COMMERCE |
||
|
GBP410,400 |
10.02% Interest and Equity Linked Redemption Notes due 03/04/2028 fully paid (Registered, GBP) |
(BTZS164)(XS3284970343) |
|
CANADIAN IMPERIAL BANK OF COMMERCE |
||
|
GBP1,056,348 |
Preference Share Linked Redemption Notes due 05/04/2029 fully paid (Registered, GBP) |
(BP81KB0)(XS3285025691) |
|
COINSHARES DIGITAL SECURITIES LIMITED |
||
|
6,000 |
COINSHARES PHYSICAL BITCOIN DIGITAL SECURITIES FULLY PAID |
(BTKTC58)(GB00BLD4ZL17) |
|
COSTAIN GROUP PLC |
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|
3,000,000 |
ORDINARY SHARES OF 1P EACH, FULLY PAID |
(B64NSP7)(GB00B64NSP76) |
|
EUROPEAN BANK FOR RECONSTRUCTION & DEVELOPMENT |
||
|
PLN40,000,000 |
3.44% NOTES DUE 09/03/2027 FULLY PAID (REGISTERED, PLN) |
(BW6HPZ8)(XS3311151859) |
|
GRESHAM HOUSE INCOME & GROWTH VCT PLC |
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|
44,745,151 |
ORDINARY SHARES OF 1P EACH, FULLY PAID |
(B29BN19)(GB00B29BN198) |
|
GRESHAM HOUSE INCOME & GROWTH 2 VCT PLC |
||
|
48,737,579 |
ORDINARY SHARES OF 1P EACH, FULLY PAID |
(B01WL23)(GB00B01WL239) |
|
HANETF ETC SECURITIES PLC |
||
|
150,000 |
THE ROYAL MINT RESPONSIBLY SOURCED PHYSICAL GOLD ETC |
(BKT7175)(XS2115336336) |
|
HSBC BANK PLC |
||
|
3,195,000 |
Market Access Notes linked to ordinary shares issued by RIYADH CABLES GROUP CO due 29/04/2027 fully paid (Registered, USD) |
(BR1DW55)(XS3337381639) |
|
INTERNATIONAL FINANCE CORPORATION |
||
|
BRL55,000,000 |
11.25% NOTES DUE 13/01/2031 FULLY PAID (REGISTERED, BRL) |
(BP7NCK0)(XS3271072087) |
|
INVESCO DIGITAL MARKETS PLC |
||
|
8,000 |
SECURED BITCOIN LINKED CERTIFICATES FULLY PAID |
(BRDXKP9)(XS2376095068) |
|
INVESCO PHYSICAL MARKETS PUBLIC LIMITED COMPANY |
||
|
440,300 |
INVESCO PHYSICAL GOLD ETC CERTIFICATES, FULLY PAID |
(B599TV6)(IE00B579F325) |
|
50,000 |
INVESCO PHYSICAL SILVER ETC CERTIFICATES FULLY PAID |
(B66SS94)(IE00B43VDT70) |
|
ISHARES DIGITAL ASSETS AG |
||
|
800,000 |
ISHARES BITCOIN ETP, FULLY PAID |
(BTXTKZ1)(XS2940466316) |
|
ISHARES PHYSICAL METALS PLC |
||
|
240,000 |
ISHARES SILVER ETC FULLY PAID USD |
(B4NCWG0)(IE00B4NCWG09) |
|
1,855,000 |
ISHARES PHYSICAL GOLD ETC FULLY PAID USD |
(B4ND360)(IE00B4ND3602) |
|
ISHARES VI PLC |
||
|
|
iShares US Large Cap Moderate Buffer Mar UCITS ETF USD (Acc) |
(BVSWCV9)(IE000AY2ERH5) |
|
|
iShares US Large Cap Max Buffer Mar UCITS ETF USD (Acc) |
(BN2TBP7)(IE000INTB8Q8) |
|
KENDRICK RESOURCES PLC |
||
|
39,038,460 |
ORDINARY SHARES OF GBP0.0003 EACH, FULLY PAID |
(BNBQZW4)(GB00BNBQZW49) |
|
LEVERAGE SHARES PUBLIC LIMITED COMPANY |
||
|
7,500 |
INCOMESHARES PALANTIR (PLTR) OPTIONS ETP FULLY PAID |
(BP7M0F8)(XS3068775009) |
|
12,000 |
LEVSHARES 2X MSFT ETP |
(BSQMP33)(XS2820605314) |
|
2,000 |
LEVERAGE SHARES 3X APPLE ETP SECURITIES DUE 04/06/2070; FULLY PAID |
(BK5BZS0)(IE00BK5BZS07) |
|
1,300 |
LEVERAGE SHARES 3X LONG ARTIFICIAL INTELLIGENCE (AI) ETP SECURITIES FULLY PAID |
(BQS8JH7)(XS2779861751) |
|
27,000 |
LEVERAGE SHARES 3X LONG SANDISK (SNDK) ETP FULLY PAID |
(BVK0T98)(XS3299462070) |
|
460,000 |
LEVERAGE SHARES -3X SHORT NVIDIA (NVDA) ETP SECURITIES, FULLY PAID |
(BR54D62)(XS2944874416) |
|
MAGYAR EXPORT-IMPORT BANK ZARTKORUEN MUKODO RESZVENYTARSASAG |
||
|
EUR100,000,000 |
4.500% NOTES DUE 27/11/2031 FULLY PAID (REGISTERED, EUR) |
(BS9FT15)(XS2947186131) |
|
MILTON CAPITAL PLC |
||
|
81,600,000 |
ORDINARY SHARES OF GBP0.01 EACH, FULLY PAID |
(BMWLC75)(GB00BMWLC750) |
|
PEMBROKE VCT PLC |
||
|
9,446,348 |
B ORDINARY SHARES OF 1P EACH; FULLY PAID |
(BQVC9S7)(GB00BQVC9S79) |
|
PRAETURA GROWTH VCT PLC |
||
|
1,834,805 |
ORDINARY SHARES OF 1P EACH FULLY PAID |
(BL690L8)(GB00BL690L89) |
|
PROVEN GROWTH & INCOME VCT PLC |
||
|
4,565,996 |
ORDINARY SHARES OF 1.6187P EACH, FULLY PAID |
(B5B7YS0)(GB00B5B7YS03) |
|
PROVEN VCT PLC |
||
|
5,128,680 |
ORDINARY SHARES OF 10P EACH, FULLY PAID |
(B8GH9P8)(GB00B8GH9P84) |
|
SSE PLC |
||
|
EUR400,000,000 |
Floating Rate Notes due 07/04/2028 fully paid (Bearer, EUR) |
(BS88NM4)(XS3333107590) |
|
TRIPLE POINT VENTURE VCT PLC |
||
|
729,609 |
VENTURE SHARES OF 1P EACH, FULLY PAID |
(BDTYGZ0)(GB00BDTYGZ09) |
|
TRIPLE POINT VENTURE VCT PLC |
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|
3,037,271 |
VENTURE SHARES OF 1P EACH, FULLY PAID |
(BDTYGZ0)(GB00BDTYGZ09) |
|
WISDOMTREE COMMODITY SECURITIES LIMITED |
||
|
63,400 |
WISDOMTREE CORN CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD5.5IN PRINCIPAL AMOUNT EACH (WISDOMTREE CORN INDIVIDUAL SECURITIES), FULLY PAID |
(BN7KB44)(JE00BN7KB441) |
|
1,048,575 |
WISDOMTREE COPPER CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD3.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE COPPER INDIVIDUAL SECURITIES) FULLY PAID |
(B15KXQ8)(GB00B15KXQ89) |
|
1,500 |
WISDOMTREE LIVE CATTLE CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD2.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE LIVE CATTLE INDIVIDUAL SECURITIES) FULLY PAID |
(B15KY09)(GB00B15KY096) |
|
72,300 |
WISDOMTREE GOLD CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD.00 IN PRINCIPAL AMOUNT EACH (ETFS GOLD INDIVIDUAL SECURITIES) FULLY PAID |
(B15KXX5)(GB00B15KXX56) |
|
1,175,087 |
WISDOMTREE BRENT CRUDE OIL FULLY PAID |
(B78CGV9)(JE00B78CGV99) |
|
11,500 |
WISDOMTREE PRECIOUS METALS CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD1.2481050 IN PRINCIPAL AMOUNT EACH (WISDOMTREE PRECIOUS METALS INDEX SECURITIES) FULLY PAID |
(B15KYF4)(GB00B15KYF40) |
|
17,192,638 |
WISDOMTREE INDUSTRIAL METALS CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD1.8078250 IN PRINCIPAL AMOUNT EACH (WISDOMTREE INDUSTRIAL METALS INDEX SECURITIES) FULLY PAID |
(B15KYG5)(GB00B15KYG56) |
|
1,034,300 |
WISDOMTREE GRAINS CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD0.6695460 IN PRINCIPAL AMOUNT EACH (WISDOMTREE GRAINS INDEX SECURITIES) FULLY PAID |
(B15KYL0)(GB00B15KYL00) |
|
1,039,000 |
WISDOMTREE AGRICULTURE FULLY PAID |
(B15KYH6)(GB00B15KYH63) |
|
WISDOMTREE COMMODITY SECURITIES LIMITED |
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|
30,000 |
WISDOMTREE COFFEE 2X DAILY LEVERAGED FULLY PAID |
(B2NFTD1)(JE00B2NFTD12) |
|
104,600 |
WISDOMTREE CORN 2X DAILY LEVERAGED FULLY PAID |
(B2NFTG4)(JE00B2NFTG43) |
|
8,600 |
WISDOMTREE COCOA 2X DAILY LEVERAGED FULLY PAID |
(B2NFV80)(JE00B2NFV803) |
|
2,600 |
WISDOMTREE GOLD 2X DAILY LEVERAGED FULLY PAID |
(B2NFTL9)(JE00B2NFTL95) |
|
26,000 |
WISDOMTREE BRENT CRUDE OIL LONGER DATED FULLY PAID |
(B78CP78)(JE00B78CP782) |
|
17,100 |
WISDOMTREE BRENT CRUDE OIL 2X DAILY LEVERAGED FULLY PAID |
(BDD9QD9)(JE00BDD9QD91) |
|
4,000 |
WISDOMTREE ENERGY LONGER DATED FULLY PAID |
(B24DMD5)(JE00B24DMD55) |
|
4,864,575 |
WISDOMTREE WTI CRUDE OIL CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD5.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE WTI CRUDE OIL INDIVIDUAL SECURITIES) FULLY PAID |
(B15KXV3)(GB00B15KXV33) |
|
23,600 |
WISDOMTREE COCOA, FULLY PAID |
(B2QXZK1)(JE00B2QXZK10) |
|
WISDOMTREE COMMODITY SECURITIES LIMITED |
||
|
108,100 |
WISDOMTREE COTTON CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD0.50 IN PRINCIPAL AMOUNT EACH (WISDOMTREE COTTON INDIVIDUAL SECURITIES), FULLY PAID |
(B15KXT1)(GB00B15KXT11) |
|
401,700 |
WISDOMTREE GOLD 1X DAILY SHORT FULLY PAID |
(B24DKC0)(JE00B24DKC09) |
|
20,000 |
WISDOMTREE BRENT CRUDE OIL 1X DAILY SHORT FULLY PAID |
(B78DPL5)(JE00B78DPL57) |
|
30,900 |
WISDOMTREE SUGAR 2X DAILY LEVERAGED FULLY PAID |
(B2NFTW0)(JE00B2NFTW01) |
|
35,500 |
ETFS 2X DAILY LONG SILVER FULLY PAID |
(B2NFTS6)(JE00B2NFTS64) |
|
152,509 |
WISDOMTREE NATURAL GAS SECURITIES FULLY PAID |
(BN7KB33)(JE00BN7KB334) |
|
12,800 |
WISDOMTREE PLATINUM 2X DAILY LEVERAGED FULLY PAID |
(B2NFV13)(JE00B2NFV134) |
|
241,800 |
WISDOMTREE WTI CRUDE OIL 2X DAILY LEVERAGED FULLY PAID |
(BDD9Q84)(JE00BDD9Q840) |
|
12,666,500 |
WISDOMTREE NATURAL GAS 2X DAILY LEVERAGE FULLY PAID |
(BDD9Q95)(JE00BDD9Q956) |
|
WISDOMTREE COMMODITY SECURITIES LIMITED |
||
|
13,000 |
WISDOMTREE SUGAR 3X DAILY LEVERAGED FULLY PAID |
(BYQY7H9)(JE00BYQY7H96) |
|
WISDOMTREE COMMODITY SECURITIES LIMITED |
||
|
1,320,800 |
WISDOMTREE SILVER 1X DAILY SHORT FULLY PAID |
(B24DKK8)(JE00B24DKK82) |
|
16,600 |
WISDOMTREE WHEAT CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD2.3 IN PRINCIPAL AMOUNT EACH (WISDOMTREE WHEAT INDIVIDUAL SECURITIES) FULLY PAID |
(BN7KB66)(JE00BN7KB664) |
|
500 |
WISDOMTREE CALIFORNIA CARBON INDIVIDUAL SECURITIES FULLY PAID |
(BNG8LN8)(JE00BNG8LN89) |
|
32,600 |
WISDOMTREE SUGAR CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD3.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE SUGAR INDIVIDUAL SECURITIES), FULLY PAID |
(B15KY65)(GB00B15KY658) |
|
489,100 |
WISDOMTREE WTI CRUDE OIL 1X DAILY SHORT FULLY PAID |
(B24DK97)(JE00B24DK975) |
|
8,500 |
WISDOMTREE SOYBEAN OIL CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD1.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE SOYBEAN OIL INDIVIDUAL SECURITIES) FULLY PAID |
(B15KY43)(GB00B15KY435) |
|
48,000 |
WISDOMTREE NICKEL CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD2.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE NICKEL INDIVIDUAL SECURITIES) FULLY PAID |
(B15KY21)(GB00B15KY211) |
|
48,300 |
WISDOMTREE SILVER CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD2.00 IN PRINCIPAL AMOUNT EACH (ETFS SILVER INDIVIDUAL SECURITIES) FULLY PAID |
(B15KY32)(GB00B15KY328) |
|
10,000 |
WISDOMTREE COPPER 1X DAILY SHORT FULLY PAID |
(B24DK64)(JE00B24DK645) |
|
WISDOMTREE FOREIGN EXCHANGE LIMITED |
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|
3,000 |
WISDOMTREE LONG USD SHORT GBP 3X DAILY, FULLY PAID |
(B3WCLY5)(JE00B3WCLY57) |
|
2,400 |
WISDOMTREE SHORT EUR LONG GBP 3X DAILY, FULLY PAID |
(B3W0MY6)(JE00B3W0MY68) |
|
1,800 |
WISDOMTREE SHORT EUR LONG USD 3X DAILY, FULLY PAID |
(B3N9C97)(JE00B3N9C970) |
|
WISDOMTREE ISSUER X LIMITED |
||
|
76,000 |
WISDOMTREE PHYSICAL BITCOIN DIGITAL SECURITIES FULLY PAID |
(BSGZJM9)(GB00BJYDH287) |
|
WISDOMTREE ISSUER X LIMITED |
||
|
20,000 |
WISDOMTREE PHYSICAL ETHEREUM DIGITAL SECURITIES FULLY PAID |
(BMG9CV9)(GB00BJYDH394) |
|
WISDOMTREE METAL SECURITIES LIMITED |
||
|
2,200 |
ETFS PHYSICAL SWISS GOLD , FULLY PAID |
(B588CD7)(JE00B588CD74) |
|
WISDOMTREE METAL SECURITIES LIMITED |
||
|
27,000 |
WISDOMTREE CORE PHYSICAL GOLD UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES |
(BN2CJ30)(JE00BN2CJ301) |
|
32,000 |
WISDOMTREE PHYSICAL GOLD SECURITIES, FULLY PAID |
(B1VS377)(JE00B1VS3770) |
|
WISDOMTREE MULTI ASSET ISSUER PUBLIC LIMITED COMPANY |
||
|
3,000 |
WISDOMTREE SILVER 3X DAILY LEVERAGED DUE 30/11/2062, FULLY PAID |
(B7XD219)(IE00B7XD2195) |
|
12,000 |
WISDOMTREE NASDAQ 100 3X DAILY LEVERAGED DUE 30/11/2062 FULLY PAID |
(BKSB219)(IE00BLRPRL42) |
|
419,000,000 |
WISDOMTREE SILVER 3X DAILY SHORT DUE 30/11/2062, FULLY PAID |
(B8JG178)(IE00B8JG1787) |
|
5,900,000 |
WISDOMTREE BRENT CRUDE OIL 3X DAILY SHORT DUE 30/11/2062 FULLY PAID |
(BKSB208)(IE00BLRPRK35) |
|
730,000 |
WISDOMTREE NATURAL GAS 3X DAILY LEVERAGED DUE 30/11/2062, FULLY PAID |
(BT19SS2)(XS2819843900) |
|
16,000 |
WISDOMTREE MAGNIFICENT 7 3X DAILY LEVERAGED FULLY PAID 30/11/2062 |
(BTFGLC4)(XS3091654114) |
|
23,000 |
WISDOMTREE GOLD 3X DAILY LEVERAGED DUE 30/11/2062, FULLY PAID |
(B8HGT87)(IE00B8HGT870) |
AMENDMENT
Following a Substitution of Issuer the following securities have been amended:
|
CLYDESDALE BANK PLC |
||
|
|
SERIES 3 FLOATING RATE COVERED BONDS DUE 22/01/2028 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF GBP100,000 EACH AND INTEGRAL MULTIPLES OF GBP1,000 IN EXCESS THEREOF UP TO AND INCLUDING GBP199,000) |
(BPLGPH3)(XS2443513440) |
|
|
REGULATED SERIES 8 FLOATING RATE COVERED BONDS DUE 22/09/2029 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF GBP100,000 EACH AND INTEGRAL MULTIPLES OF GBP1,000 IN EXCESS THEREOF UP TO AND INCLUDING GBP199,000) |
(BR56K67)(XS2692456200) |
|
|
3.750% SERIES 7 COVERED BONDS DUE 22/08/2029 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF EUR100,000 EACH AND INTEGRAL MULTIPLES OF EUR1,000 IN EXCESS THEREOF UP TO AND INCLUDING EUR199,000) |
(BLGYMR3)(XS2641928382) |
|
|
SERIES 9 FLOATING RATE COVERED BONDS DUE 22/01/2029 FULLY PAID (BEARER, GBP) |
(BSSGCY3)(XS2988672650) |
|
|
SERIES 2 0.01% COVERED BONDS DUE 22/09/2027 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF EUR100,000 EACH AND INTEGRAL MULTIPLES OF EUR1,000 IN EXCESS THEREOF UP TO AND INCLUDING EUR199,000) |
(BK6H231)(XS2049803575) |
|
|
2.50% SERIES 4 COVERED BONDS DUE 22/06/2028 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF EUR100,000 EACH AND INTEGRAL MULTIPLES OF EUR1,000 IN EXCESS THEREOF UP TO AND INCLUDING EUR199,000) |
(BMB3NL3)(XS2493830827) |
|
|
4.625% REGULATED COVERED BONDS DUE 08/06/2026 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF GBP100,000 EACH AND INTEGRAL MULTIPLES OF GBP1,000 IN EXCESS THEREOF UP TO AND INCLUDING GBP199,000) |
(B8BGCN9)(XS0789991527) |
These should appear as:
|
NATIONWIDE BUILDING SOCIETY |
||
|
|
SERIES 3 FLOATING RATE COVERED BONDS DUE 22/01/2028 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF GBP100,000 EACH AND INTEGRAL MULTIPLES OF GBP1,000 IN EXCESS THEREOF UP TO AND INCLUDING GBP199,000) |
(BPLGPH3)(XS2443513440) |
|
|
REGULATED SERIES 8 FLOATING RATE COVERED BONDS DUE 22/09/2029 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF GBP100,000 EACH AND INTEGRAL MULTIPLES OF GBP1,000 IN EXCESS THEREOF UP TO AND INCLUDING GBP199,000) |
(BR56K67)(XS2692456200) |
|
|
3.750% SERIES 7 COVERED BONDS DUE 22/08/2029 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF EUR100,000 EACH AND INTEGRAL MULTIPLES OF EUR1,000 IN EXCESS THEREOF UP TO AND INCLUDING EUR199,000) |
(BLGYMR3)(XS2641928382) |
|
|
SERIES 9 FLOATING RATE COVERED BONDS DUE 22/01/2029 FULLY PAID (BEARER, GBP) |
(BSSGCY3)(XS2988672650) |
|
|
SERIES 2 0.01% COVERED BONDS DUE 22/09/2027 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF EUR100,000 EACH AND INTEGRAL MULTIPLES OF EUR1,000 IN EXCESS THEREOF UP TO AND INCLUDING EUR199,000) |
(BK6H231)(XS2049803575) |
|
|
2.50% SERIES 4 COVERED BONDS DUE 22/06/2028 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF EUR100,000 EACH AND INTEGRAL MULTIPLES OF EUR1,000 IN EXCESS THEREOF UP TO AND INCLUDING EUR199,000) |
(BMB3NL3)(XS2493830827) |
|
|
4.625% REGULATED COVERED BONDS DUE 08/06/2026 FULLY PAID (REPRESENTED BY BONDS TO BEARER OF GBP100,000 EACH AND INTEGRAL MULTIPLES OF GBP1,000 IN EXCESS THEREOF UP TO AND INCLUDING GBP199,000) |
(B8BGCN9)(XS0789991527) |
If you have any queries relating to the above, please contact Market Operations at the LSE on 020 7797 4310.
Admission to Trading - 07/04/202608:00:007 Apr 2026London Stock Exchange Notice3337Z