On 27 March 2018 Euronext completed its acquisition of the Irish Stock Exchange (ISE). The ISE has joined Euronext’s federal model and now operates under the trading name Euronext Dublin. Press release link. The content on this website will be updated in due course.

Debt


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Legend:   Debt Security Programme   Debt Security Non-Programme   Debt Security Tranche   Debt Security Document
 Expand  €40,000,000,000 Programme for the issue of Notes 90 1 21
Close  €40,000,000,000 Programme for the issue of Notes 89 1 21
Close  NIMROD CAPITAL P.L.C 89 21
          2006-1 Series 2006-1 Floating Rate Secured Senior Notes due 23 March 2040 Sedol: B1FT6C2
          2006-3 Series 2006-3 Floating Rate Secured Senior Notes due 2040 Sedol: B1GCST1
          2006-4 Series 2006-4 Floating Rate Secured Senior Notes due May 2040 Sedol: B1HN2C4
          2006-5 Series 2006-5 Floating Rate Secured Senior Notes due 2040 Sedol: B1LPR65
          2007-6 Series 2007-6 Senior Floating Rate Secured Senior Notes due 2040 Sedol: B1N81F9
          2007-7 Series 2007-7 Senior Floating Rate Secured Senior Notes due 2040 Sedol: B1N81D7
          2007-8 Series 2007-8 Floating Rate Secured Senior Notes due 2040 Sedol: B1VQY34
          2007-14 Series 2007-14 Floating Rate Secured Senior Notes due 2040 Sedol: B1XFS60
          2007-16 Series No 2007-16 Floating Rate Secured Senior Notes due 2040 Sedol: B23C6V9
          2007-15 Series No 2007-15 Floating Rate Secued Senior Notes due 2040 Sedol: B23C783
          2007-17 Series No 2007-17 Floating Rate Secured Senior Notes due 2040 Sedol: B23C772
          2007-19 Series No 2007-19 Tranche 1 Floating Rate Secured Senior Notes due 2040 Sedol: B2Q2R91
          2008-20 Series No 2008-20 Floating Rate Secured Senior Notes due 2040 Sedol: B3CLK90
          Series 2012-21 Floating Rate Secured Senior Notes due January 2040 (the Notes) Sedol: B8437D2
          Series 2012-22 Floating Rate Secured Senior Notes March 2040 (the Notes) Sedol: B79LX81
          Series 2012-23 Floating Rate Secured Senior Notes due April 2040 (the Notes) Sedol: B7N74N7
          Series 2013-24 USD 125000000 Floating Rate Secured Senior Notes due January 2040 (the Notes) Sedol: B8DTTB3
          Series 2013-27 Issue of CZK 750000000 Floating Rate Secured Senior Notes due January 2040 (the “Notes”) Sedol: BC9LNB9
          Series 2013-26 EUR 40000000 Floating Rate Secured Senior Notes due June 2040 (the “Notes”) Sedol: BC9S462
          Series 2013-25 EUR 40000000 Floating Rate Secured Senior Notes due May 2040 (the “Notes”) Sedol: BC9S5Z8
          Series 2015-28 Issue of USD 75,000,000 Floating Rate Secured Senior Notes (the "Notes") due 23 March 2040 Sedol: BYMFKK0
 Expand  **Created in error**€200,000,000 Euro-Commercial Paper Programme 1 1 0
 Expand  "Custom Markets" Structured Issuance Programme 3 1 1
 Expand  "Novus" Structured Issuance Programme 58 5 7
 Expand  $10,000,000,000 Limited Recourse Asset Backed Note Programme 0 1 0
 Expand  $15,000,000,000 Global Debt Issuance Program 77 1 2
 Expand  $20,000,000,000 GLOBAL COLLATERALISED MEDIUM TERM NOTES 145 1 35
 Expand  $3,000,000,000 Global Debt Issuance Program 4 1 0
 Expand  $7,000,000,000 Global Medium Term Note Issuance Program 16 1 0
      (1) €15,000,000,000 EURO-COMMERCIAL PAPER PROGRAMME         0  
      (2) €15,000,000,000 EURO-COMMERCIAL PAPER PROGRAMME         0  
 Expand  (GEM) Regulation S Program for the Issuance of Notes, Series A and B, Warrants and Certificates 2333 4 1451
 Expand  (MSM) Regulation S Program for the Issuance of Notes, Series A and Series B, Warrants and Certificates 254 2 86
 Expand  “MAJOR” Multi-Jurisdiction Repackaging Note Programme 93 14 18
 Expand  £1,000,000,000 Guaranteed Secured Medium Term Note Programme 1 1 1
 Expand  £1,500,000,000 CASTLE TRUST DIRECT PROGRAMME FOR THE ISSUANCE OF NOTES 346 1 238
 Expand  £1,500,000,000 Note Programme 6 1 2
 Expand  £10,000,000,000 Multicurrency programme for the issuance of Guaranteed Wrapped Bonds 13 1 9
 Expand  £10,000,000,000 Structured Note Programme 13 1 1
 Expand  £2,000,000,000 Impala Bonds Programme 72 1 60
 Expand  £200,000,000 Secured Note Programme 2 1 1
 Expand  £3,000,000,000 Multicurrency programme for the issuance of Secured Bond Programme 12 1 4
 Expand  £3,054,000,000 Covered Bond Issuance 0 1 6
 Expand  £5,000,000,000 Global Medium Term Note Programme 8 2 1
 Expand  £5,000,000,000 Multicurrency Programme for the Issuance of Class A Notes 2 1 2
 Expand  £5,000,000,000 Multicurrency Programme for the Issuance of Class A Notes 14 1 5
 Expand  £5,000,000,000 Multicurrency Programme for the Issuance of Senior Secured Notes 5 1 3
 Expand  £5,000,000,000 Programme for the Issuance of Notes 3 1 3
 Expand  £500,000,000 Secured limited recourse bond programme 9 1 3

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