- Title:
Admission to Trading - 13/07/2026 - Time:
08:00:01 - Date:
13 Jul 2026 - Category:
London Stock Exchange Notice - ID:
9561L
NOTICE OF ADMISSION TO TRADING ON THE LONDON STOCK EXCHANGE
13/07/2026 - 08:00
The following securities are admitted to trading on the LSE with effect from the time and date of this notice
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21SHARES AG |
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20,000 |
21SHARES BITCOIN EXCHANGE TRADED PRODUCT (ABTC) FULLY PAID |
(BRRH228)(CH0454664001) |
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AMUNDI PHYSICAL METALS PLC |
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24,000 |
AMUNDI PHYSICAL GOLD ETC SECURITIES DUE 23/05/2118 FULLY PAID |
(BLKQKY8)(FR0013416716) |
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BANK OF MONTREAL |
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4.359% Covered Bonds due 13/07/2029 fully paid (Registered, USD) (Rule 144A) |
(BSNNX68)(US06368MW269) |
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USD2,000,000,000 |
4.359% Covered Bonds due 13/07/2029 fully paid (Registered, USD) (Regulation S) |
(BSNPJC2)(USC0623PJD18) |
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BARCLAYS BANK PLC |
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GBP2,000,000 |
Securities due 14/07/2031 fully paid (Bearer, GBP) |
(BVMVWF6)(XS3357689143) |
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BITWISE EUROPE GMBH |
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120,000 |
BITWISE PHYSICAL ETHEREUM ETP (ZETH), FULLY PAID |
(BRF3PG3)(DE000A3GMKD7) |
|
CITIGROUP GLOBAL MARKETS FUNDING LUXEMBOURG S.C.A. |
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GBP3,500,000 |
Notes linked to Preference Shares of Citigroup Global Markets Funding Luxembourg S.C.A. CGMFL168501 due 06/07/2032 fully paid (Registered, GBP) |
(BRV3493)(XS3164487988) |
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CITIGROUP GLOBAL MARKETS FUNDING LUXEMBOURG S.C.A. |
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GBP2,157,005 |
Notes linked to Preference Shares of Citigroup Global Markets Funding Luxembourg S.C.A. CGMFL168786 due 03/07/2029 fully paid (Registered, GBP) |
(BRV3460)(XS3164480546) |
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GOLD BULLION SECURITIES LD |
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9,000 |
GOLD BULLION SECURITIES |
(B00FHZ8)(GB00B00FHZ82) |
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INVESCO PHYSICAL MARKETS PUBLIC LIMITED COMPANY |
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22,400 |
INVESCO PHYSICAL GOLD ETC CERTIFICATES, FULLY PAID |
(B599TV6)(IE00B579F325) |
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ISHARES PHYSICAL METALS PLC |
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365,000 |
ISHARES PHYSICAL GOLD ETC FULLY PAID USD |
(B4ND360)(IE00B4ND3602) |
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95,000 |
ISHARES SILVER ETC FULLY PAID USD |
(B4NCWG0)(IE00B4NCWG09) |
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LEVERAGE SHARES PUBLIC LIMITED COMPANY |
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185,000 |
LEVERAGE SHARES 3X TESLA ETP SECURITIES DUE 21/03/2071 FULLY PAID |
(BN6V0V8)(XS2757381400) |
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5,020,000 |
LEVERAGE SHARES 5X LONG NASDAQ 100 ETP SECURITIES, FULLY PAID |
(BNDKGH6)(XS2399364152) |
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LEVERAGE SHARES PUBLIC LIMITED COMPANY |
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8,000 |
INCOMESHARES ANALOG DEVICES (ADI) OPTIONS ETP FULLY PAID |
(BVK0TZ4)(XS3299466493) |
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31,000 |
INCOMESHARES COREWEAVE (CRWV) OPTIONS ETP FULLY PAID |
(BVK0V36)(XS3299468788) |
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20,000 |
LEVERAGE SHARES 2X LONG BERKSHIRE HATHAWAY (BRK-B) ETP SECURITIES, FULLY PAID |
(BNDKHB7)(XS2399369110) |
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9,448 |
LEVERAGE SHARES 3X LONG INDIA ETP SECURITIES FULLY PAID |
(BQ0L134)(XS2595675302) |
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1,600 |
LEVERAGE SHARES 3X LONG INTEL (INTC) ETP SECURITIES, FULLY PAID |
(BP7M9B7)(XS3068788838) |
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891,499 |
LEVERAGE SHARES 3X LONG MEMORY (DRAM) ETP FULLY PAID |
(BNDWDD7)(XS3388191457) |
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63,000 |
LEVERAGE SHARES 3X LONG SANDISK (SNDK) ETP FULLY PAID |
(BVK0T98)(XS3299462070) |
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130,000 |
LEVERAGE SHARES 3X LONG SK HYNIX ETP FULLY PAID |
(BNDWDC6)(XS3388190996) |
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104,000 |
LEVERAGE SHARES 3X LONG SOUTH KOREA ETP SECURITIES, FULLY PAID |
(BP2G204)(XS2472196257) |
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NATIXIS STRUCTURED ISSUANCE S.A. |
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GBP311,120 |
Preference Share Linked Notes indexed to the Preference Shares comprising Class 347 Equity Index-Linked Preference Shares issued by Cannon Bridge Capital Ltd due 07/07/2036 fully paid (Bearer, GBP) |
(BTNPQ95)(XS3267338906) |
|
GBP6,782,179 |
Preference Share Linked Notes indexed to the Preference Shares comprising Class 352 Equity Index-Linked Preference Shares issued by Cannon Bridge Capital Ltd due 07/07/2031 fully paid (Bearer, GBP) |
(BTNPQB7)(XS3338958203) |
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GBP69,900 |
Preference Share Linked Notes indexed to the Preference Shares comprising Class 349 Equity Index-Linked Preference Shares issued by Cannon Bridge Capital Ltd due 07/07/2036 fully paid (Bearer, GBP) |
(BTNPQD9)(XS3338961413) |
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GBP151,136 |
Preference Share Linked Notes indexed to the Preference Shares comprising Class 348 Equity Index-Linked Preference Shares issued by Cannon Bridge Capital Ltd due 07/07/2036 fully paid (Bearer, GBP) |
(BTNPQF1)(XS3338951703) |
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TESCO CORPORATE TREASURY SERVICES PLC |
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EUR500,000,000 |
3.750% Notes due 13/07/2034 fully paid (Bearer, EUR) |
(BWPH430)(XS3437614228) |
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WISDOMTREE COMMODITY SECURITIES LIMITED |
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194,900 |
WISDOMTREE WTI CRUDE OIL 2X DAILY LEVERAGED FULLY PAID |
(BDD9Q84)(JE00BDD9Q840) |
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108,600 |
WISDOMTREE CORN 2X DAILY LEVERAGED FULLY PAID |
(B2NFTG4)(JE00B2NFTG43) |
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2,400 |
WISDOMTREE GOLD 2X DAILY LEVERAGED FULLY PAID |
(B2NFTL9)(JE00B2NFTL95) |
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76,100 |
WISDOMTREE BRENT CRUDE OIL 2X DAILY LEVERAGED FULLY PAID |
(BDD9QD9)(JE00BDD9QD91) |
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1,786,401 |
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) |
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2,500 |
WISDOMTREE AGRICULTURE 2X DAILY LEVERAGE FULLY PAID |
(B2NFT42)(JE00B2NFT427) |
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21,924 |
WISDOMTREE CORN CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD5.5IN PRINCIPAL AMOUNT EACH (WISDOMTREE CORN INDIVIDUAL SECURITIES), FULLY PAID |
(BN7KB44)(JE00BN7KB441) |
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160,066 |
WISDOMTREE COPPER CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD3.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE COPPER INDIVIDUAL SECURITIES) FULLY PAID |
(B15KXQ8)(GB00B15KXQ89) |
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21,000 |
WISDOMTREE SOFTS CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD1.1442550 IN PRINCIPAL AMOUNT EACH (WISDOMTREE SOFTS INDEX SECURITIES) FULLY PAID |
(B15KYJ8)(GB00B15KYJ87) |
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WISDOMTREE COMMODITY SECURITIES LIMITED |
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144,787 |
WISDOMTREE BRENT CRUDE OIL FULLY PAID |
(B78CGV9)(JE00B78CGV99) |
|
5,100 |
WISDOMTREE PETROLEUM CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD4.5663270 IN PRINCIPAL AMOUNT EACH (WISDOMTREE PETROLEUM INDEX SECURITIES), FULLY PAID |
(B15KYC1)(GB00B15KYC19) |
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53,300 |
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) |
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21,600 |
WISDOMTREE GRAINS CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD0.6695460 IN PRINCIPAL AMOUNT EACH (WISDOMTREE GRAINS INDEX SECURITIES) FULLY PAID |
(B15KYL0)(GB00B15KYL00) |
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1,870,500 |
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) |
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22,900 |
WISDOMTREE AGRICULTURE FULLY PAID |
(B15KYH6)(GB00B15KYH63) |
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324,400 |
WISDOMTREE ENERGY CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD4.7002820 IN PRINCIPAL AMOUNT EACH (WISDOMTREE ENERGY INDEX SECURITIES), FULLY PAID |
(B15KYB0)(GB00B15KYB02) |
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81,500 |
WISDOMTREE COFFEE 3X DAILY LEVERAGED FULLY PAID |
(BYQY3Z9)(JE00BYQY3Z98) |
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WISDOMTREE COMMODITY SECURITIES LIMITED |
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101,000 |
WISDOMTREE SILVER 1X DAILY SHORT FULLY PAID |
(B24DKK8)(JE00B24DKK82) |
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27,800 |
WISDOMTREE COFFEE 2X DAILY LEVERAGED FULLY PAID |
(B2NFTD1)(JE00B2NFTD12) |
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2,800 |
WISDOMTREE WHEAT CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD2.3 IN PRINCIPAL AMOUNT EACH (WISDOMTREE WHEAT INDIVIDUAL SECURITIES) FULLY PAID |
(BN7KB66)(JE00BN7KB664) |
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10,500 |
WISDOMTREE NICKEL CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD2.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE NICKEL INDIVIDUAL SECURITIES) FULLY PAID |
(B15KY21)(GB00B15KY211) |
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63,000 |
WISDOMTREE WTI CRUDE OIL 1X DAILY SHORT FULLY PAID |
(B24DK97)(JE00B24DK975) |
|
38,100 |
WISDOMTREE SUGAR 2X DAILY LEVERAGED FULLY PAID |
(B2NFTW0)(JE00B2NFTW01) |
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188,207 |
WISDOMTREE NATURAL GAS SECURITIES FULLY PAID |
(BN7KB33)(JE00BN7KB334) |
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16,300 |
ETFS 2X DAILY LONG SILVER FULLY PAID |
(B2NFTS6)(JE00B2NFTS64) |
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19,900 |
WISDOMTREE COCOA 2X DAILY LEVERAGED FULLY PAID |
(B2NFV80)(JE00B2NFV803) |
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WISDOMTREE HEDGED METAL SECURITIES LIMITED |
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47,000 |
WISDOMTREE PHYSICAL GOLD - GBP DAILY HEDGED FULLY PAID |
(B7VG2M1)(JE00B7VG2M16) |
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WISDOMTREE METAL SECURITIES LIMITED |
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70,000 |
WISDOMTREE CORE PHYSICAL SILVER SECURITIES FULLY PAID |
(BQRFDY4)(JE00BQRFDY49) |
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WISDOMTREE METAL SECURITIES LIMITED |
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14,000 |
WISDOMTREE PHYSICAL PALLADIUM SECURITIES, FULLY PAID |
(B1VS300)(JE00B1VS3002) |
|
2,711 |
PHYSICAL SILVER SECURITIES FULLY PAID |
(B1VS333)(JE00B1VS3333) |
|
17,300 |
WISDOMTREE PHYSICAL GOLD SECURITIES, FULLY PAID |
(B1VS377)(JE00B1VS3770) |
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WISDOMTREE MULTI ASSET ISSUER PUBLIC LIMITED COMPANY |
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6,500 |
WISDOMTREE INDUSTRIAL METALS ENHANCED DUE 30/11/2062 FULLY PAID |
(BZCNWZ0)(IE00BF4TWC33) |
|
25,000 |
WISDOMTREE ENHANCED COMMODITY CARRY SECURITIES DUE 30/11/2062 FULLY PAID |
(BTTSN20)(XS3022291473) |
|
15,000 |
WISDOMTREE MAGNIFICENT 7 3X DAILY LEVERAGED FULLY PAID 30/11/2062 |
(BTFGLC4)(XS3091654114) |
|
13,000 |
WISDOMTREE BRENT CRUDE OIL PRE-ROLL DUE 30/11/2062 FULLY PAID |
(BWBXQD6)(IE00BVFZGD11) |
|
37,000 |
WISDOMTREE SILVER 3X DAILY LEVERAGED DUE 30/11/2062, FULLY PAID |
(BVRY6R0)(XS3306516876) |
|
80,000 |
WISDOMTREE FTSE 100 3X DAILY LEVERAGED DUE 30/11/2062 FULLY PAID |
(BVRY8K7)(XS3306519896) |
|
580,000 |
WISDOMTREE WTI CRUDE OIL 3X DAILY SHORT SECURITIES DUE 30/11/2062 FULLY PAID |
(BT19SV5)(XS2819844387) |
|
25,000 |
WISDOMTREE COPPER 3X DAILY LEVERAGED DUE 30/11/2062, FULLY PAID |
(B8JVMZ8)(IE00B8JVMZ80) |
|
1,370,000 |
WISDOMTREE NATURAL GAS 3X DAILY LEVERAGED DUE 30/11/2062, FULLY PAID |
(BT19SS2)(XS2819843900) |
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WISDOMTREE MULTI ASSET ISSUER PUBLIC LIMITED COMPANY |
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50,000 |
WISDOMTREE PALLADIUM 2X DAILY LEVERAGED DUE 30/11/2062 FULLY PAID |
(B94QLN6)(IE00B94QLN63) |
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XTRACKERS (IE) PUBLIC LIMITED COMPANY |
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Xtrackers Global Corporate Bond UCITS ETF |
(BV5QRY2)(IE000VZ7IV68) |
|
|
Xtrackers Global Corporate Bond UCITS ETF |
(BX0YHD4)(IE0008Z87N38) |
|
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Xtrackers Global High Yield Corporate Bond UCITS ETF |
(BX0YDV4)(IE000YHV2XO4) |
If you have any queries relating to the above, please contact Market Operations at the LSE on 020 7797 4310.
Admission to Trading - 13/07/202608:00:0113 Jul 2026London Stock Exchange Notice9561L