Final Terms
Below you will find the published Final Terms per year:
Final terms 2024
- EUR 1,000,000,000 3.000% Water Bonds due 5 June 2031 (Series 1659) (PDF | 200.82 KB)
- EUR 1,250,000,000 2.625% SDG Housing Bonds due 10 January 2034 (Series 1647) (PDF | 197.92 KB)
- EUR 1,750,000,000 2.50% Fixed Rate Notes due 13 September 2027 (Series 1662) (PDF | 379.79 KB)
- EUR 100,000,000 0.00 per cent. Notes due 16 November 2026 (Series 1524, tranche 12) (PDF | 363.76 KB)
- EUR 100,000,000 0.00 per cent. Notes due 16 November 2026 (Series 1524, tranche 13) (PDF | 351.00 KB)
- EUR 100,000,000 0.625 per cent. Fixed Rate Notes due 18 January 2027 (Series 1451, tranche 2) (PDF | 352.41 KB)
- EUR 100,000,000 3.73 per cent. Callable Fixed Rate Notes due 14 June 2036 (Series 1661) (PDF | 317.33 KB)
- EUR 150,000,000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 18) (PDF | 380.29 KB)
- EUR 150,000,000 Step-Up Callable Fixed Rate Notes due 26 February 2029 (Series 1652) (PDF | 333.41 KB)
- EUR 20,000,000 4.067 per cent. Fixed Rate Callable notes due 13 February 2046 (Series 1649) (PDF | 359.62 KB)
- EUR 20,500,000 3.455 per cent. 15NC5 Fixed Rate Callable Notes due 24 January 2039 (Series 1648) (PDF | 364.67 KB)
- EUR 25,000,000 0.625 per cent. Fixed Rate Notes due 18 January 2027 (Series 1451, tranche 4) (PDF | 324.23 KB)
- EUR 250,000,000 0.625 per cent. Fixed Rate Notes due 18 January 2027 (Series 1451, tranche 3) (PDF | 318.39 KB)
- EUR 275,000,000 0.00 per cent. Notes due 16 November 2026 (Series 1524, tranche 14) (PDF | 630.98 KB)
- EUR 30,000,000 3.43 per cent. Fixed Rate Notes due 13 May 2025 (Series 1658) (PDF | 320.71 KB)
- EUR 35,000,000 0.500 per cent. Fixed Rate Water Bonds due 26 April 2051 (Series 1564, tranche 5) (PDF | 396.67 KB)
- EUR 45,000,000 3.622 per cent. Notes due 5 April 2045 (Series 1655) (PDF | 219.94 KB)
- EUR 50,000,000 0.00 per cent. Notes due 16 November 2026 (Series 1524, tranche 10) (PDF | 344.79 KB)
- EUR 50,000,000 0.00 per cent. Notes due 16 November 2026 (Series 1524, tranche 11) (PDF | 344.56 KB)
- EUR 50,000,000 0.00 per cent. Notes due 16 November 2026 (Series 1524, tranche 7) (PDF | 322.94 KB)
- EUR 50,000,000 0.00 per cent. Notes due 16 November 2026 (Series 1524, tranche 8) (PDF | 324.88 KB)
- EUR 50,000,000 0.00 per cent. Notes due 16 November 2026 (Series 1524, tranche 9) (PDF | 334.27 KB)
- EUR 50,000,000 0.500 per cent. Fixed Rate Water Bonds due 26 April 2051 (Series 1565, tranche 4) (PDF | 379.46 KB)
- EUR 50,000,000 0.625 per cent. Fixed Rate Notes due 18 January 2027 (Series 1451, tranche 5) (PDF | 353.17 KB)
- EUR 50,000,000 3.35 per cent. Fixed Rate Callable Notes due 22 April 2027 (Series 1656) (PDF | 371.64 KB)
- EUR 75,000,000 3.93 per cent. Fixed Rate Callable Notes due 6 June 2044 (Series 1660) (PDF | 390.30 KB)
- GBP 30,000,000 4.35 per cent. Fixed Rate Notes due 2 March 2026 (Series 1665) (PDF | 370.14 KB)
- HKD 500,000,000 3.92 per cent. Notes due 20 November 2026 (Series 1664, tranche 1) (PDF | 404.84 KB)
- USD 1,500,000,000 Reg S/144A 4.000 per cent. Fixed Rate Notes due 16 October 2026 (Series 1663) (PDF | 225.40 KB)
- USD 1,500,000,000 Reg S/144A 4.375 per cent. SDG Housing Bonds due 28 February 2029 (Series 1653) (PDF | 231.67 KB)
- USD 100,000,000 5.085 per cent. Fixed Rate Notes due 13 February 2025 (Series 1650) (PDF | 355.60 KB)
- USD 250,000,000 5.22 per cent. Fixed Rate Notes due 6 March 2025 (Series 1654) (PDF | 324.88 KB)
- USD 320,000,000 5.04 per cent. Fixed Rate Notes due 18 February 2025 (Series 1651) (PDF | 354.54 KB)
- USD 60,000,000 5.405 per cent. Fixed Rate Notes due 25 April 2025 (Series 1657) (PDF | 352.99 KB)
Final terms 2023
- AUD 40,000,000 5.045 per cent. Notes due 29 June 2038 (Series 1640) (PDF | 382.73 KB)
- EUR 1,500,000,000 3.000 per cent. Water Bonds due 20 April 2033 (Series 1636) (PDF | 244.96 KB)
- EUR 10,000,000 3.06 per cent. Notes due 2 February 2027 (Series 1627) (PDF | 322.85 KB)
- EUR 10,000,000 3.06 per cent. Notes due 26 April 2032 (Series 1637) (PDF | 333.85 KB)
- EUR 10,000,000 3.55 per cent. Callable Fixed Rate Notes due 31 March 2043 (PDF | 345.78 KB)
- EUR 100,000,000 0.0 per cent. Notes due 16 November 2026 (Series 1524, tranche 5) (PDF | 174.26 KB)
- EUR 100,000,000 0.0 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 15) (PDF | 364.12 KB)
- EUR 100,000,000 0.0 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 16) (PDF | 367.69 KB)
- EUR 100,000,000 3.375 per cent. Fixed Rate Notes due 6 September 2025 (PDF | 359.04 KB)
- EUR 100,000,000 3.375 per cent. Fixed Rate Notes due 6 September 2025 (Series 1644) (PDF | 398.44 KB)
- EUR 100,000,000 4.0250 per cent. Notes due 17 July 2026 (Series 1643) (PDF | 327.05 KB)
- EUR 125,000,000 0.250 per cent. Fixed Rate Affordable Housing Bonds due 7 June 2024 (Series 1461, tranche 3) (PDF | 363.02 KB)
- EUR 140,000,000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 17) (PDF | 365.22 KB)
- EUR 150,000,000 0.0 per cent. Notes due 16 November 2026 (Series 1524, tranche 4) (PDF | 335.19 KB)
- EUR 20,000,000 4.065 per cent. 20NC5 Fixed Rate Callable Notes due 13 July 2043 (Series 1642) (PDF | 371.29 KB)
- EUR 25,000,000 0.0 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 14) (PDF | 370.00 KB)
- EUR 25,000,000 0.00 per cent. Notes due 16 November 2026 (Series 1524, tranche 6) (PDF | 215.90 KB)
- EUR 25,000,000 3.17 per cent. Fixed Rate Notes due 15 September 2031 (Series 1645) (PDF | 361.67 KB)
- EUR 30,000,000 4.153 per cent. Callable Fixed Rate Notes due 20 November 2043 (Series 1646) (PDF | 404.07 KB)
- EUR 36,000,000 0.375 per cent. SDG Housing Bonds due 28 September 2046 (Series 1573, tranche 4) (PDF | 173.63 KB)
- EUR 50,000,000 0.375 per cent. SDG Housing Bonds due 28 September 2046 (Series 1573, tranche 6) (PDF | 315.27 KB)
- EUR 50,000,000 0.375 per cent. SDG Housing Bonds due 28 September 2046 (Series 1573, tranche 7) (PDF | 329.72 KB)
- EUR 50,000,000 4.156 per cent. 20NC3 Fixed Rate Callable Notes due 29 June 2043 (Series 1641) (PDF | 311.59 KB)
- EUR 50,000,000 4.156 per cent. 20NC3 Fixed Rate Callable Notes due 29 June 2043 (Series 1641) (Amended and Restated on 4 July 2024) (PDF | 739.79 KB)
- EUR 50,000,000 4.187 per cent. Callable Fixed Rate Bonds due 2 June 2038 (Series 1639) (PDF | 314.13 KB)
- EUR 500,000,000 2.750 per cent. SDG Housing bonds due 24 December 2029 (Series 1626) (PDF | 197.63 KB)
- EUR 64,000,000 0.375 per cent. SDG Housing Bonds due 28 September 2046 (Series 1573, tranche 5) (PDF | 296.36 KB)
- EUR 75,000,000 0.0 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 12) (PDF | 227.19 KB)
- EUR 75,000,000 0.0 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 13) (PDF | 363.08 KB)
- GBP 100,000,000 2.00 per cent. Notes due 16 December 2024 (Series 1598, tranch 14) (PDF | 383.65 KB)
- GBP 25,000,000 0.875 per cent. Notes due 30 September 2026 (Series 1575, tranche 8) (PDF | 255.20 KB)
- GBP 25,000,000 4.500 per cent. Fixed Rate Notes due 18 June 2025 (Series 1634, tranche 3) (PDF | 343.29 KB)
- GBP 250,000,000 4.500 per cent. Fixed Rate Notes due 18 June 2025 (Series 1634) (PDF | 197.11 KB)
- GBP 50,000,000 2.00 per cent. Notes due 16 December 2024 (Series 1598, tranch 15) (PDF | 392.94 KB)
- GBP 50,000,000 2.000 per cent. Notes due 16 December 2024 (Series 1598, tranche 16) (PDF | 388.52 KB)
- GBP 50,000,000 4.500 per cent. Fixed Rate Notes due 18 June 2025 (Series 1634, tranche 2) (PDF | 316.76 KB)
- NZD 60,000,000 5.05 per cent. Notes due 21 February 2033 (Series 1632) (PDF | 331.10 KB)
- USD 1,000,000,000 Reg S/144A 4.00 per cent. SDG Housing Bonds due 1 June 2028 (Series 1638) (PDF | 201.33 KB)
- USD 1,500,000,000 4.875 per cent. RegS/144A Notes due 24 February 2025 (Series 1633) (PDF | 279.08 KB)
- USD 100,000,000 4.875 per cent. Reg S/144A Notes due 24 February 2025 (Series 1633, tranche 2) (PDF | 368.95 KB)
- USD 100,000,000 5.167 per cent. Notes due 15 February 2024 (Series 1631) (PDF | 324.81 KB)
- USD 100,000,000 5.20 per cent. Notes due 9 February 2024 (Series 1630) (PDF | 343.96 KB)
- USD 100,000,000 Reg S/144A 4.875 per cent. Fixed Rate Notes due 24 February 2025 (Series 1633, tranche 3) (PDF | 376.28 KB)
- USD 140,000,000 5.05 per cent. Notes due 1 February 2024 (Series 1629, Tranche 3) (PDF | 333.77 KB)
- USD 200,000,000 5.08 per cent. Notes due 19 January 2024 (Series 1624) (PDF | 324.72 KB)
- USD 250,000,000 2.875 per cent. Notes due 24 May 2024 (Series 1613, tranche 2)-AR (PDF | 329.46 KB)
- USD 250,000,000 2.875 per cent. Notes due 24 May 2024 (Series 1613, tranche 2) (PDF | 329.03 KB)
- USD 250,000,000 5.025 per cent. Notes due 25 January 2024 (Series 1628) (PDF | 307.11 KB)
- USD 50,000,000 0.19 per cent. Notes due 2 November 2050 (Series 1553, Tranche 2) (PDF | 277.13 KB)
- USD 50,000,000 2.875 per cent. Notes due 24 May 2024 (Series 1613, tranche 4) (PDF | 337.26 KB)
- USD 50,000,000 2.875 per cent. Notes due 24 May 2024 (Series 1613, tranche 5) (PDF | 361.81 KB)
- USD 50,000,000 2.875 per cent. Notes due 24 May 2024 (Series 1613, tranche 6) (PDF | 363.45 KB)
- USD 50,000,000 2.875 per cent. Notes due 24 May 2024 (Series 1613, tranche 7) (PDF | 369.46 KB)
- USD 50,000,000 5.05 per cent. Notes due 1 February 2024 (Series 1629, Tranche 2) (PDF | 334.27 KB)
- USD 50,000,000 5.10 per cent. Notes due 18 January 2024 (Series 1623) (PDF | 318.06 KB)
- USD 50,000,000 5.12 per cent. Notes due 19 January 2023 (Series 1625) (PDF | 372.12 KB)
- USD 600,000,000 5.05 per cent. Notes due 1 February 2024 (Series 1629) (PDF | 324.04 KB)
- USD 70,000,000 2.875 per cent. Notes due 24 May 2024 (Series 1613, tranche 3) (PDF | 352.39 KB)
Final terms 2022
- USD 50,000,000 RegS/144A 0.125 per cent. Notes due 15 February 2023 (Series 1559 Tranche 17) (PDF | 401.80 KB)
- USD 50,000,000 RegS/144A 0.125 per cent. Notes due 15 February 2023 (Series 1559 Tranche 18) (PDF | 361.51 KB)
- AUD 55,000,000 3.405 per cent. Notes due 30 September 2032 (Series 1597) (PDF | 372.02 KB)
- CHF 100.000.000 0.235 per cent. Notes due 14 April 2027 (Series 1593) (PDF | 380.71 KB)
- EUR 1,750,000,000 0,25 per cent. SDG Housing Bonds due 19 January 2032 (Series 1581) (PDF | 279.53 KB)
- EUR 10,000,000 1.2075 per cent. Notes due 23 January 2042 (Series 1582) (PDF | 299.39 KB)
- EUR 10,000,000 1.55 per cent. Notes due 13 April 2034 (Series 1601) (PDF | 320.42 KB)
- EUR 10.000.000 1.68 per cent. Notes due 22 July 2027 (Series 1616) (PDF | 181.11 KB)
- EUR 10.000.000 1.71 per cent. Notes due 13 April 2037 (Series 1600) (PDF | 319.70 KB)
- EUR 10.000.000 2.21 per cent. Notes due 20 April 2037 (Series 1604) (PDF | 380.69 KB)
- EUR 10.000.000 2.35 per cent. Notes due 19 September 2025 (Series 1520) (PDF | 369.10 KB)
- EUR 10.000.000 2.35 per cent. Notes due 19 September 2025 (Series 1620) (PDF | 369.10 KB)
- EUR 10.000.000 3.095 per cent. Notes due 12 September 2022 (Series 1519) (PDF | 372.08 KB)
- EUR 10.000.000 3.095 per cent. Notes due 12 September 2031 (Series 1619) (PDF | 372.08 KB)
- EUR 100,000,000 0.0 per cent. SDG Housing bonds due 22 January 2037 (Series 1560, tranche 5) (PDF | 351.66 KB)
- EUR 100,000,000 Notes due 13 May 2026 (Series 1607) (PDF | 346.41 KB)
- EUR 100.000.000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, Tranche 6) (PDF | 328.09 KB)
- EUR 100.000.000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 8) (PDF | 343.81 KB)
- EUR 100.000.000 0.375 per cent. SDG Housing Bonds due 28 September 2046 (Series 1573, tranche 2) (PDF | 340.72 KB)
- EUR 100.000.000 2.267 per cent. Notes due 19 May 2037 (Series 1609) (PDF | 316.50 KB)
- EUR 125,000,000 1.437 per cent. Notes due 4 March 2042 (Series 1588) (PDF | 359.31 KB)
- EUR 150.000.000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 9) (PDF | 363.77 KB)
- EUR 18.000.000 Step-up callable Notes due 8 July 2026 (Series 1615) (PDF | 172.91 KB)
- EUR 20,000,000 1.847 per cent. Notes due 31 March 2042 (Series 1595) (PDF | 344.26 KB)
- EUR 20,000,000 1.9 per cent. Notes due 15 March 2052 (Series 1590) (PDF | 329.26 KB)
- EUR 20.000.000 1.10 per cent. Notes due 26 May 2027 (Series 1611) (PDF | 333.83 KB)
- EUR 200,000,000 0.0 per cent. SDG Housing bonds due 22 January 2037 (Series 1560, tranche 4) (PDF | 523.92 KB)
- EUR 200,000,000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 11) (PDF | 375.25 KB)
- EUR 23.000.000 1.75 per cent. Notes due 2 June 2037 (Series 1614) (PDF | 388.75 KB)
- EUR 25,000,000 1.551 per cent. Notes due 24 November 2061 (Series 1594) (PDF | 345.98 KB)
- EUR 25,000,000 1.87 per cent. Notes due 8 November 2057 (Series 1599) (PDF | 312.02 KB)
- EUR 250,000,000 0.0 per cent. Notes due 16 November 2026 (Series 1524, tranche 2) (PDF | 195.01 KB)
- EUR 250.000.000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, Tranche 7) (PDF | 364.73 KB)
- EUR 26.000.000 Fixed to CMS Linked Notes due April 2042 (Series 1606) (PDF | 335.68 KB)
- EUR 27,000,000 0.80 per cent. Notes due 23 February 2032 (Series 1587) (PDF | 322.34 KB)
- EUR 30,400,000 1.54 per cent. Fixed Rate Notes due 15 August 2028 (Series 1618) (PDF | 331.98 KB)
- EUR 30.000.000 2.311 per cent. Notes due 30 May 2042 (Series 1612) (PDF | 344.91 KB)
- EUR 30.000.000 2.510 per cent. SDG Housing Bonds due 1 December 2025 (Series 1622) (PDF | 347.49 KB)
- EUR 300,000,000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 10) (PDF | 363.70 KB)
- EUR 33,000,000 0.595 per cent. Notes due 10 February 2032 (Series 1584) (PDF | 318.42 KB)
- EUR 375,000,000 3.0 per cent. Notes due 16 November 2023 (Series 1230, tranche 4) (PDF | 380.80 KB)
- EUR 40,000,000 2.491 per cent. Notes due 13 May 2037 (Series 1608) (PDF | 335.36 KB)
- EUR 45,000,000 2.03 per cent. Notes due 13 April 2037 (Series 1602) (PDF | 397.92 KB)
- EUR 48,500,000 0.650 per cent. Notes due 18 February 2032 (Series 1585) (PDF | 321.55 KB)
- EUR 50,000,000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 2) (PDF | 353.42 KB)
- EUR 50,000,000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (Series 1560, tranche 3) (PDF | 357.99 KB)
- EUR 50,000,000 0.580 per cent. Notes due 25 March 2026 (Series 1592) (PDF | 323.35 KB)
- EUR 50,000,000 1.18 per cent. Notes due 23 February 2037 (Series 1586) (PDF | 331.77 KB)
- EUR 50,000,000 1.50 per cent. Notes due 10 March 2042 (Series 1589) (PDF | 323.04 KB)
- EUR 50,000,000 Zero Coupon per cent. Notes due 18 March 2082 (Series 1591) (PDF | 348.31 KB)
- EUR 50.000.000 1.355 per cent. Notes due 4 May 2027 (Series 1605) (PDF | 324.30 KB)
- EUR 50.000.000 2.25 per cent. Notes due 20 April 2037 (Series 1603) (PDF | 381.41 KB)
- EUR 50.000.000 2.414 per cent. Notes due 5 August 2052 (Series 1617) (PDF | 329.55 KB)
- EUR 500,000,000 2.750 per cent. Fixed Rate Water Bonds due 9 November 2027 (Series 1621) (PDF | 318.65 KB)
- EUR 60,000,000 .125 per cent. Notes due 17 January 2024 (Series 1506, tranche 3) (PDF | 282.41 KB)
- EUR 70,000,000 1.752 per cent. Notes due 8 April 2042 (Series 1596) (PDF | 329.00 KB)
- EUR 75,000,000 0.125 per cent. Notes due 3 September 2035 (Series 1547, tranche 2) (PDF | 287.28 KB)
- EUR 75,000,000 0.500 per cent. Fixed Rate Water Bonds due 26 April 2051 (Series 1565, tranche 3) (PDF | 264.35 KB)
- EUR 75.000.000 0.375 per cent. SDG Housing Bonds due 28 September 2046 (Series 1573, tranche 3) (PDF | 343.51 KB)
- EUR 750,000,000 0.00 per cent. Notes due 16 November 2026 (Series 1524, tranch 3) (PDF | 365.35 KB)
- GBP 100.000.000 2.00 per cent. Notes due 16 December 2024 (Series 1598, Tranche 2) (PDF | 342.28 KB)
- GBP 15,000,000 0.250 per cent. due Notes 15 December 2025 (Series 1545, tranche 23) (PDF | 394.43 KB)
- GBP 20,000,000 0.25 per cent. Notes due 15 December 2025 (Series 1545, tranche 19) (PDF | 374.39 KB)
- GBP 20.000.000 2.000 per cent. Notes due 16 December 2024 (Series 1598, Tranche 12) (PDF | 389.51 KB)
- GBP 20.000.000 2.000 per cent. Notes due 16 December 2024 (Series 1598, Tranche 13) (PDF | 384.00 KB)
- GBP 20.000.000 2.000 per cent. Notes due 16 December 2024 (Series 1598, Tranche 7) (PDF | 388.34 KB)
- GBP 25,000,000 0.250 per cent. due Notes 15 December 2025 (Series 1545, tranche 18) (PDF | 365.59 KB)
- GBP 25,000,000 0.875 per cent. Notes due 30 September 2026 (Series 1575, tranch 6) (PDF | 370.18 KB)
- GBP 25.000.000 2.00 per cent. Notes due 16 December 2024 (Series 1598, Tranche 3) (PDF | 346.28 KB)
- GBP 25.000.000 2.000 per cent. Notes due 16 December 2024 (Series 1598, Tranche 11) (PDF | 386.46 KB)
- GBP 25.000.000 2.000 per cent. Notes due 16 December 2024 (Series 1598, Tranche 8) (PDF | 362.73 KB)
- GBP 25.000.000 2.000 per cent. Notes due 16 December 2024 (Series 1598, Tranche 9) (PDF | 364.58 KB)
- GBP 250,000,000 2.0 per cent. Notes due 16 December 2024 (Series 1598) (PDF | 217.16 KB)
- GBP 30,000,000 0.250 per cent. due Notes 15 December 2025 (Series 1545, tranche 22) (PDF | 322.72 KB)
- GBP 30.000.000 2.000 per cent. Notes due 16 December 2024 (Series 1598, Tranche 4) (PDF | 378.36 KB)
- GBP 30.000.000 2.000 per cent. Notes due 16 December 2024 (Series 1598, Tranche 5) (PDF | 381.36 KB)
- GBP 45.000.000 2.000 per cent. Notes due 16 December 2024 (Series 1598, Tranche 6) (PDF | 353.47 KB)
- GBP 50,000,000 0.25 per cent. Notes due 15 December 2025 (Series 1545, tranche 16) (PDF | 235.25 KB)
- GBP 50,000,000 0.25 per cent. Notes due 15 December 2025 (Series 1545, tranche 17) (PDF | 309.16 KB)
- GBP 50,000,000 0.250 per cent. due Notes 15 December 2025 (Series 1545, tranche 21) (PDF | 376.84 KB)
- GBP 60,000,000 0.875 per cent. Notes due 30 September 2026 (Series 1575, tranch 7) (PDF | 323.85 KB)
- GBP 65,000,000 0.25 per cent. Notes due 15 December 2025 (Series 1545, tranche 15) (PDF | 383.63 KB)
- GBP 75,000,000 0.250 per cent. due Notes 15 December 2025 (Series 1545, tranche 20) (PDF | 346.28 KB)
- GBP 75,000,000 0.875 per cent. Notes due 30 September 2026 (Series 1575, tranch 5) (PDF | 350.87 KB)
- GBP 90.000.000 2.000 per cent. Notes due 16 December 2024 (Series 1598, Tranche 10) (PDF | 309.13 KB)
- USD 1,250,000,000 RegS/144A 1.125 per cent. Notes due 15 March 2024 (Series 1583)-AR (PDF | 357.21 KB)
- USD 50,000,000 2.972 per cent. Notes due 16 May 2024 (Series 1610) (PDF | 379.47 KB)
- USD 50,000,000 RegS/144A 1.125 per cent. Notes due 15 March 2024 (Series 1583, tranch 3)-AR (PDF | 360.03 KB)
- USD 50,000,000 RegS/144A 1.125 per cent. Notes due 15 March 2024 (Series 1583, tranche 2)-AR (PDF | 355.19 KB)
- USD 50,000,000 RegS/144A 1.125 per cent. Notes due 15 March 2024 (Series 1583, tranche 4)-AR (PDF | 360.22 KB)
- USD 500,000,000 2.875 per cent. Notes due 24 May 2024 (Series 1613) (PDF | 303.90 KB)
Final terms 2021
- CHF 100,000,000 0.002 per cent. Notes due 4 March 2041 (Series 1563) (PDF | 407.84 KB)
- CHF 65,000,000 0.625 per cent. Notes due 21 Augusts 2037 (Series 1463 II, tranche 2) (PDF | 466.59 KB)
- EUR 1,000,000,000 0.0 per cent. SDG Housing Benchmark due 8 September 2031 (Series 1572) (PDF | 1,231.79 KB)
- EUR 1,000,000,000 0.375 per cent. SDG Housing Bond due 28 September 2046 (Series 1573) amended and restated on 25 November 2021 (PDF | 344.48 KB)
- EUR 1,000,000,000 0.375 per cent. SDG Housing Bond due 28 September 2046 (Series 1573) (PDF | 303.80 KB)
- EUR 10,000,000 0.13 per cent. Notes due 6 September 2033 (Series 1571) (PDF | 292.24 KB)
- EUR 10,000,000 0.15 per cent Callable Fixed Rate Notes due 28 April 2031 (Series 1566) (PDF | 317.65 KB)
- EUR 10,000,000 0.245 per cent. Notes due 16 December 2031(Series 1580) (PDF | 313.70 KB)
- EUR 10,000,000 0.3 per cent. Notes due 15 December 2031 (Series 1577) (PDF | 341.05 KB)
- EUR 10.000.000 0.43 per cent. Notes due 30 December 2031 (Series 1578) (PDF | 288.49 KB)
- EUR 100,000,000 0.500 per cent. Fixed Rate Notes due 19 January 2023 (Series 1420, tranche 4) (PDF | 323.80 KB)
- EUR 11,000,000 0.955 per cent. Callable Fixed Rate Notes due 13 February 2051 (Series 1562) (PDF | 235.44 KB)
- EUR 139,000,000 0.573 per cent. Notes due 14 October 2041 (Series 1574) (PDF | 330.76 KB)
- EUR 15,000,000 0.29 per cent. Notes due 9 December 2031 (Series 1579) (PDF | 347.75 KB)
- EUR 18,000,000 1.65 per cent. Callable Fixed Rate Notes due 27 May 2061 (Series 1568) (PDF | 372.09 KB)
- EUR 20,000,000 0.20 per cent. Callable Notes due 12 April 2032 (Series 1564) (PDF | 314.10 KB)
- EUR 30,000,000 Leveraged CMS Reverse Floater Notes due 17 May 2041 (Series 1567) (PDF | 418.25 KB)
- EUR 30,500,000 Callable Step-up Notes due 11 February 2041 (Series 1561) (PDF | 490.46 KB)
- EUR 400,000,000 0.125 per cent. Fixed Rate Notes due 17 January 2024 (Series 1506, tranche 2) (PDF | 274.11 KB)
- EUR 50,000,000 0.500 per cent. Fixed Rate Water Bonds due 26 April 2051 (Series 1565, tranche 2) (PDF | 324.64 KB)
- EUR 500,000,000 0.00 per cent. SDG Housing Bonds due 16 February 2037 (PDF | 719.92 KB)
- EUR 500,000,000 0.250 per cent. Fixed Rate Affordable Housing Bonds due 7 June 2024 (Series 1461, tranche 2) (PDF | 367.20 KB)
- EUR 500,000,000 0.500 per cent. Fixed Rate Water Bonds due 26 April 2051 (Series 1565) (PDF | 257.67 KB)
- GBP 10,000,000 1.003 per cent. Fixed Rate Notes due 24 June 2031 (Series 1569) (PDF | 314.95 KB)
- GBP 11,000,000 1.577 per cent. Notes due 9 December 2039 (Series 1576) (PDF | 360.22 KB)
- GBP 110,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 5) (PDF | 309.23 KB)
- GBP 120,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 12) (PDF | 379.61 KB)
- GBP 15,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 7) (PDF | 391.48 KB)
- GBP 200,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 2) (PDF | 358.55 KB)
- GBP 25,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 10) (PDF | 348.53 KB)
- GBP 25,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 6) (PDF | 413.31 KB)
- GBP 25,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 8) (PDF | 404.18 KB)
- GBP 25,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 9) (PDF | 304.63 KB)
- GBP 25,000,000 0.250 per cent. Notes due 15 December 2025 (Series 1545 XIV)) (PDF | 389.46 KB)
- GBP 25,000,000 0.875 per cent. Notes due 30 September 2026 (Series 1575, Tranch 2) (PDF | 362.70 KB)
- GBP 25,000,000 0.875 per cent. Notes due 30 September 2026 (Series 1575, Tranch 3) (PDF | 359.39 KB)
- GBP 25,000,000 0.875 per cent. Notes due 30 September 2026 (Series 1575, Tranch 4) (PDF | 313.50 KB)
- GBP 30,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 4) (PDF | 299.84 KB)
- GBP 350,000,000 0.875 per cent. Notes due 30 September 2026 (Series 1575) (PDF | 225.31 KB)
- GBP 50,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 11) (PDF | 346.14 KB)
- GBP 75,000,000 0.250 per cent Fixed Rate Notes due 15 December 2025 (Series 1545, tranche 3) (PDF | 310.33 KB)
- NZD 300,000,000 0.796 per cent. Fixed Rate Notes due 14 April 2023 (Series 1570) (PDF | 362.12 KB)
- USD 1,000,000,000 Reg S144A 0.125 per cent. Fixed Rate Notes due 15 February 2023 (PDF | 281.40 KB)
- USD 100,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 10) (PDF | 375.57 KB)
- USD 100,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 11) (PDF | 373.53 KB)
- USD 100,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 12) (PDF | 379.86 KB)
- USD 100,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 13) (PDF | 373.96 KB)
- USD 100,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 6) (PDF | 367.77 KB)
- USD 100,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 7) (PDF | 358.74 KB)
- USD 150,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 15) (PDF | 374.06 KB)
- USD 50,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 14) (PDF | 350.80 KB)
- USD 50,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 16) (PDF | 355.39 KB)
- USD 50,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 2) (PDF | 337.84 KB)
- USD 50,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 3) (PDF | 361.09 KB)
- USD 50,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 4) (PDF | 325.77 KB)
- USD 50,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 5) (PDF | 368.84 KB)
- USD 50,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 8) (PDF | 373.79 KB)
- USD 50,000,000 0.125 per cent. Notes due 15 February 2023 (Series 1559, tranche 9) (PDF | 347.91 KB)
Final terms 2020
- EUR 1,000,000,000 0.050 per cent. Notes due 28 January 2030 (series 1529) (PDF | 220.21 KB)
- EUR 1,000,000,000 0.125 per cent. SDG Housing Bonds due 3 September 2035 (series 1547) (PDF | 343.01 KB)
- EUR 10,000,000 0.160 per cent. Callable Notes due 29 April 2030 (series 1535) (PDF | 323.64 KB)
- EUR 10,000,000 0.170 per cent. Callable Fixed Rate Notes due 30 January 2030 (series 1530) (PDF | 323.32 KB)
- EUR 10,000,000 0.23 per cent. Callable Fixed Rate Notes due 22 October 2035 (Series 1551) (PDF | 331.50 KB)
- EUR 10,000,000 0.26 per cent. Callable Fixed Rate Notes due 10 November 2036 (Series 1555) (PDF | 319.62 KB)
- EUR 10,000,000 0.4475 per cent. Callable Notes due 8 October 2040 (series 1549) (PDF | 171.16 KB)
- EUR 100,000,000 0.436 per cent. Callable Fixed Rate Notes due 22 October 2040 (Series 1552) (PDF | 242.97 KB)
- EUR 100,000,000 0.500 per cent. Notes due 19 January 2023 (series 1420, tranche 2) (PDF | 339.58 KB)
- EUR 2,000,000,000 0.00 per cent. SDG Housing Bonds due 14 April 2023 (series 1533) (PDF | 309.52 KB)
- EUR 20,000,000 0.01 per cent. Callable Notes due 20 March 2030 (series 1531) (PDF | 304.26 KB)
- EUR 20,000,000 1.00 per cent. Callable Fixed Rate Notes due 24 November 2050 (Series 1556, tranche 2) (PDF | 350.70 KB)
- EUR 20,000,000 1.00 per cent. Callable Fixed Rate Notes due 24 November 2050 (Series 1556) (PDF | 330.38 KB)
- EUR 20,000,000 1.08 per cent. Callable Fixed Rate Notes due 26 October 2050 (Series 1550) (PDF | 328.51 KB)
- EUR 20,000,000 1.370 per cent. Multi Callable Notes due 23 March 2065 (series 1532) (PDF | 321.05 KB)
- EUR 30,000,000 0.700 per cent. Callable Notes due 25 October 2050 (series 1538) (PDF | 314.34 KB)
- EUR 30,000,000 0.781 per cent Fixed Rate Notes due 28 February 2050 (Series 1534) (PDF | 304.03 KB)
- EUR 30,000,000 0.781 per cent. Callable Notes due 18 October 2050 (series 1536) (PDF | 321.23 KB)
- EUR 30,000,000 0.932 per cent. Callable Notes due 2 December 2060 (series 1539) (PDF | 312.06 KB)
- EUR 300,000,000 0.19 per cent. Fixed Rate Notes due 2 November 2050 (Series 1553) (PDF | 319.97 KB)
- EUR 400,000,000 0.500 per cent. Fixed Rate Notes due 27 October 2022 (Series 1418) (PDF | 300.83 KB)
- EUR 50,000,000 0.500 per cent. Fixed Rate Notes due 19 January 2023 (series 1420, tranche 3) (PDF | 346.11 KB)
- EUR 50,000,000 0.81 per cent. Callable Notes due 8 July 2050 (series 1544) (PDF | 269.14 KB)
- EUR 50,000,000 1.125 per cent. Callable Notes due 8 July 2050 (series 1542) (PDF | 346.98 KB)
- EUR 60,000,000 0.6625 per cent. Callable Fixed Rate Notes due 7 November 2050 (Series 1554) (PDF | 335.76 KB)
- EUR 75,000,000 0.750 per cent. Notes due 4 October 2041 (series 1445, tranche 24) (PDF | 363.65 KB)
- GBP 15,000,000 0.466 per cent. Fixed Rate Notes due 3 December 2029(Series 1558) (PDF | 293.75 KB)
- GBP 15,000,000 0.715 per cent. Notes due 19 May 2028 (series 1537) (PDF | 306.98 KB)
- GBP 300,000,000 0.250 per cent. Notes due 15 December 2025 (series 1545) (PDF | 339.24 KB)
- SEK 500,000,000 0.700 per cent. Green Bonds due 25 January 2023 (series 1453) (PDF | 354.44 KB)
- USD 1,000,000,000 Reg S144A 0.500 per cent SDG Housing Bond due 2 December 2025 (PDF | 375.55 KB)
- USD 100,000,000 0.365 per cent. Notes due 20 July 2023 (series 1546) (PDF | 288.57 KB)
- USD 100,000,000 1.006 per cent. SDG Housing Bonds due 17 May 2027 (series 1541) (PDF | 360.89 KB)
- USD 100,000,000 1.875 per cent. Notes due 14 April 2022 (series 1410, tranche 7) (PDF | 414.83 KB)
- USD 100,000,000 1.875 per cent. Notes due 14 April 2022 (series 1410, tranche 8) (PDF | 432.35 KB)
- USD 100,000,000 2.25 per cent Notes due 2 March 2022 (Series 1455, tranche 2) (PDF | 357.75 KB)
- USD 100,000,000 Reg S/144A Floating Rate Notes due 15 December 2021 (series 1528, tranche 7) (PDF | 351.96 KB)
- USD 110,000,000 0.96 per cent. SDG Housing Bonds due 15 August 2029 (series 1543) (PDF | 328.42 KB)
- USD 120,000,000 2.25 per cent Notes due 2 March 2022 (Series 1455, tranche 6) (PDF | 366.67 KB)
- USD 150,000,000 RegS/144a Floating Rate Notes due 10 November 2020 (Series 1513, tranche 12) (PDF | 390.55 KB)
- USD 2,000,000,000 Reg S/144A 1.750 per cent Notes due 15 January 2025 (PDF | 271.06 KB)
- USD 200,000,000 1.875 per cent. Fixed Rate Notes due 15 April 2022 (Series 1410, tranche 14) (PDF | 388.51 KB)
- USD 200,000,000 Reg S/144A Floating Rate Notes due 15 December 2021 (series 1528, tranche 8) (PDF | 356.20 KB)
- USD 25,000,000 1.875 per cent. Fixed Rate Notes due 15 April 2022 (Series 1410, tranche 15) (PDF | 394.76 KB)
- USD 250,000,000 1.875 per cent. Notes due 14 April 2022 (series 1410, tranche 11) (PDF | 306.93 KB)
- USD 250,000,000 Floating Rate Notes due 15 December 2021 (series 1528, tranche 2) (PDF | 276.67 KB)
- USD 325,000,000 Reg S/144A Floating Rate Notes due 15 December 2021 (series 1528, tranche 6) (PDF | 401.90 KB)
- USD 400,000,000 1.875 per cent. Notes due 14 April 2022 (series 1410, tranche 9) (PDF | 331.61 KB)
- USD 400,000,000 Reg S/144A Floating Rate Notes due 15 December 2021 (series 1528, tranche 5) (PDF | 193.28 KB)
- USD 50,000,000 1.875 per cent. Fixed Rate Notes due 15 April 2022 (Series 1410, tranche 12) (PDF | 384.58 KB)
- USD 50,000,000 1.875 per cent. Fixed Rate Notes due 15 April 2022 (Series 1410, tranche 13) (PDF | 380.64 KB)
- USD 50,000,000 2.25 per cent Notes due 2 March 2022 (Series 1455, tranche 3) (PDF | 355.33 KB)
- USD 50,000,000 2.25 per cent Notes due 2 March 2022 (Series 1455, tranche 4) (PDF | 395.29 KB)
- USD 500,000,000 Reg S/144A 1.000 per cent. Green Bonds due 28 May 2030 (series 1540) (PDF | 325.12 KB)
- USD 500,000,000 RegS/144a Floating Rate Notes due 15 December 2021 (Series 1528, tranche 3) (PDF | 385.27 KB)
- USD 75,000,000 1.875 per cent. Notes due 14 April 2022 (series 1410, tranche 10) (PDF | 333.20 KB)
- USD 75,000,000 2.25 per cent Notes due 2 March 2022 (Series 1455, tranche 5) (PDF | 362.11 KB)
- USD 75,000,000 Reg S/144A Floating Rate Notes due 15 December 2021 (series 1528, tranche 9) (PDF | 360.54 KB)
- USD 75,000,000 RegS/144A Floating Rate Notes due 15 December 2021 (Series 1528, tranche 9) (PDF | 360.54 KB)
- USD 750,000,000 Floating Rate Notes due 15 December 2021 (series 1528) (PDF | 273.13 KB)
- ZAR 230,000,000 6.020 per cent. Notes due 28 September 2027 (series 1548) (PDF | 321.91 KB)
Final terms 2019
- EUR 1,000,000,000 0.00 per cent. Fixed Rate Notes due 16 November 2026 (series 1524) (PDF | 216.12 KB)
- EUR 1,000,000,000 0.125 per cent. Fixed Rate SDG Housing Bonds due 28 May 2027 (series 1514) (PDF | 216.39 KB)
- EUR 1,000,000,000 0.625 per cent. Fixed Rate Affordable Housing Bonds due 6 February 2029 (series 1509) (PDF | 308.56 KB)
- EUR 1,250,000,000 0.125 per cent. Fixed Rate Notes due 17 January 2024 (series 1506) (PDF | 298.15 KB)
- EUR 100,000,000 0.501 per cent. Callable Fixed Rate Notes due 24 October 2039 (series 1522) (PDF | 309.55 KB)
- EUR 100,000,000 3.000 per cent. Fixed Rate Notes due 11 September 2031 (series 1354, tranche 2) (PDF | 379.29 KB)
- EUR 150,000,000 Callable Fixed Rate Notes due 4 November 2049 (series 1523) (PDF | 303.27 KB)
- EUR 19,400,000 1.79 per cent. Callable Notes due 29 January 2049 (series 1507) (PDF | 384.41 KB)
- EUR 20,000,000 1.20 per cent. Callable Fixed Rate Notes due 26 November 2049 (series 1525) (PDF | 313.59 KB)
- EUR 20,000,000 1.85 per cent. Callable Fixed Rate Notes due 11 February 2059 (series 1508) (PDF | 356.24 KB)
- EUR 25,000,000 0.750 per cent Fixed Rate Notes due 4 October 2041 (series 1445, tranche 20) (PDF | 390.94 KB)
- EUR 25,000,000 0.750 per cent Fixed Rate Notes due 4 October 2041 (series 1445, tranche 21) (PDF | 377.70 KB)
- EUR 25,000,000 1.250 per cent Fixed Rate Notes due 27 May 2036 (series 1435, tranche 11) (PDF | 358.75 KB)
- EUR 25,000,0001.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 12) (PDF | 358.79 KB)
- EUR 250,000,000 0.877 per cent. Fixed Rate Notes due 24 June 2054 (series 1516) (PDF | 307.96 KB)
- EUR 30,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 22) (PDF | 393.79 KB)
- EUR 30,000,000 Callable Zero Coupon Notes due 23 September 2069 (series 1520) (PDF | 304.86 KB)
- EUR 300,000,000 0.5 per cent. Fixed Rate Notes due 29 April 2030 (series 1411, tranche 7) (PDF | 371.72 KB)
- EUR 300,000,000 0.500 per cent. Fixed Rate Notes due 27 October 2022 (series 1418, tranche 2) (PDF | 328.58 KB)
- EUR 50,000,000 0.5 per cent. Fixed Rate Notes due 29 April 2030 (series 1411, tranche 6) (PDF | 349.29 KB)
- EUR 50,000,000 0.750 per cent Fixed Rate Notes due 4 October 2041 (series 1445, tranche 19) (PDF | 367.31 KB)
- EUR 50,000,000 0.964 per cent. Fixed Rate Notes due 11 June 2059 (series 1515) (PDF | 326.15 KB)
- EUR 50,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 10) (PDF | 356.24 KB)
- EUR 50,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 13) (PDF | 357.24 KB)
- EUR 50,000,000 3.000 per cent. Fixed Rate Notes due 16 November 2023 (series 1230, tranche 3) (PDF | 323.17 KB)
- EUR 500,000,000 0.00 per cent. Fixed Rate Water Bonds due 2 October 2034 (series 1521) (PDF | 251.18 KB)
- EUR 85,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 23) (PDF | 394.22 KB)
- GBP 15,000,000 1.559 per cent. Fixed Rate Notes due 11 March 2026 (series 1510, tranche 1) (PDF | 301.30 KB)
- GBP 70,000,000 0.75 per cent. Fixed Rate Notes due 30 June 2021 (series 1526) (PDF | 336.92 KB)
- SEK 200,000,000 0.125 per cent. Fixed Rate Green Bonds due 9 July 2025 (series 1518) (PDF | 309.17 KB)
- SEK 200,000,000 0.125 per cent. Fixed Rate SDG Housing Bonds due 9 July 2025 (series 1517) (PDF | 309.00 KB)
- USD 1,500,000,000 1.500 per cent. Fixed Rate Notes due 27 August 2021 (series 1519) (PDF | 212.69 KB)
- USD 100,000,000 Reg S:144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 5) (PDF | 376.18 KB)
- USD 100,000,000 Reg S:144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 6) (PDF | 379.15 KB)
- USD 100,000,000 Reg S:144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 8) (PDF | 402.54 KB)
- USD 200,000,000 Reg S:144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 4) (PDF | 371.83 KB)
- USD 250,000,000 Reg S:144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 3) (PDF | 216.30 KB)
- USD 50,000,000 Reg S:144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 10) (PDF | 387.05 KB)
- USD 50,000,000 Reg S:144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 11) (PDF | 351.07 KB)
- USD 50,000,000 Reg S:144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 2) (PDF | 377.71 KB)
- USD 50,000,000 Reg S:144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 7) (PDF | 441.71 KB)
- USD 50,000,000 Reg S:144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 9) (PDF | 387.19 KB)
- USD 500,000,000 Reg S:144A Floating Rate Notes due November 2020 (series 1513) (PDF | 211.59 KB)
Final terms 2018
- EUR 1,000,000,000 0.125 per cent Affordable Housing Bonds due 25 September 2023 (series 1494) (PDF | 211.51 KB)
- EUR 1,250,000,000 1.00 per cent. Fixed Rate Notes due 1 March 2028 (series 1476) (PDF | 197.07 KB)
- EUR 10,000,000 1.77 per cent. Callable Notes due 28 december 2048 (series 1505) (PDF | 345.83 KB)
- EUR 10,000,000 1.83 per cent. Callable Notes due 22 June 2048 (series 1483) (PDF | 327.05 KB)
- EUR 10,000,000 1.86 per cent. Callable Notes due 27 April 2048 (series 1479) (PDF | 350.28 KB)
- EUR 10,000,000 Callable Floating Rate Notes due 23 October 2048 (series 1495) (PDF | 308.01 KB)
- EUR 10,000,000 single-callable Step-up Notes due 11 September 2028 (series 1490) (PDF | 262.21 KB)
- EUR 100,000,000 0.050 per cent. Fixed Rate Notes due 10 February 2021 (series 1425, tranche 2) (PDF | 326.27 KB)
- EUR 100,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 13) (PDF | 354.63 KB)
- EUR 100,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 8) (PDF | 345.19 KB)
- EUR 100,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 9) (PDF | 347.25 KB)
- EUR 100,000,000 3.50 per cent. Fixed Rate Notes due 14 January 2021 (series 1204, tranche 2) (PDF | 324.52 KB)
- EUR 100,000,000 Zero Coupon Notes due 18 December 2058 (series 1503) (PDF | 293.95 KB)
- EUR 120,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 7) (PDF | 344.29 KB)
- EUR 13,000,000 Callable Fixed Rate Notes due 28 September 2048 (series 1492) (PDF | 308.10 KB)
- EUR 130,000,000 0.050 per cent. Fixed Rate Notes due 10 February 2021 (series 1425, tranche 3) (PDF | 316.73 KB)
- EUR 150,000,000 3.50 per cent. Fixed Rate Notes due 14 January 2021(serie 1204, tranche 3) (PDF | 314.39 KB)
- EUR 20,000,000 1.795 per cent. Callable Fixed Rate Notes due 24 December 2048 (series 1504) (PDF | 315.40 KB)
- EUR 20,000,000 Callable Fixed Rate Notes due 29 October 2048 (series 1496) (PDF | 299.88 KB)
- EUR 25,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 12) (PDF | 357.01 KB)
- EUR 25,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 14) (PDF | 364.79 KB)
- EUR 30,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 16) (PDF | 369.18 KB)
- EUR 30,000,000 Callable Fixed Rate Notes due 23 January 2058 (series 1473) (PDF | 322.67 KB)
- EUR 40,000,000 1.77 per cent. Callable Fixed Rate Notes due 27 July 2048 (series 1486) (PDF | 326.93 KB)
- EUR 40,000,000 1.955 per cent. Callable Notes due 28 June 2058 (series 1484) (PDF | 326.58 KB)
- EUR 40,000,000 2.00 per cent. Callable Fixed Rate Notes due 6 August 2058 (series 1487) (PDF | 342.60 KB)
- EUR 40,000,000 2.01 per cent. Callable Fixed Rate Notes due 3 May 2058 (series 1481) (PDF | 343.78 KB)
- EUR 50,000,000 0.5 per cent. Fixed Rate Notes due 29 April 2030 (series 1411, tranche 5) (PDF | 342.54 KB)
- EUR 50,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 15) (PDF | 366.15 KB)
- EUR 50,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 17) (PDF | 370.01 KB)
- EUR 50,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 18) (PDF | 385.59 KB)
- EUR 50,000,000 1.82 per cent. Callable Fixed Rate Notes due 17 August 2048 (series 1488) (PDF | 320.16 KB)
- EUR 50,000,000 1.95 per cent. Callable Fixed Rate Notes due 29 August 2058 (series 1489) (PDF | 350.18 KB)
- EUR 500,000,000 1.500 per cent. Fixed Rate Affordable Housing Bonds 27 April 2038 (series 1480) (PDF | 295.83 KB)
- EUR 55,000,000 2.03 per cent. Fixed Rate Callable Notes due 28 September 2058 (series 1491) (PDF | 324.52 KB)
- EUR 58,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 11) (PDF | 359.67 KB)
- EUR 600,000,000 1.500 per cent. Affordable Housing Bonds due 15 June 2039 (series 1497) (PDF | 329.74 KB)
- GBP 15,000,000 Fixed Rate Notes due 14 November 2024 (series 1498) (PDF | 291.38 KB)
- NZD 66,000,000 3.643 per cent. Fixed Rate Notes due 5 July 2028 (series 1485) (PDF | 326.77 KB)
- SEK 150,000,000 Fixed Rate Notes due 15 November 2038 (series 1499) (PDF | 288.92 KB)
- SEK 150,000,000 Fixed Rate Notes due 26 November 2038 (series 1501) (PDF | 294.56 KB)
- SEK 2,000,000,000 1.5075 per cent. Green Bonds due 24 January 2028 (series 1474) (PDF | 370.23 KB)
- SEK 320,000,000 2.04 per cent. Fixed Rate Notes due 26 April 2040 (series 1478) (PDF | 390.83 KB)
- USD 1,000,000,000 Reg S:144A 3 per cent. Notes due 21 december 2021 (series 1500) (PDF | 277.18 KB)
- USD 1,000,000,000 Reg S:144A Floating Rate Notes due 9 August 2019 (series 1475) (PDF | 214.78 KB)
- USD 100,000,000 RegS:144a Floating Rate Notes due 24 February 2020 (series 1467, tranche 3) (PDF | 387.27 KB)
- USD 1000000,000 Reg S:144a Floating Rate Notes due 24 February 2020 (series 1467, tranche 5) (PDF | 384.07 KB)
- USD 150,000,000 Reg 5:1444 Floating Rate Notes due 9 August 2019 (series 1475, tranche 7) (PDF | 391.11 KB)
- USD 150,000,000 Reg S:144a Floating Rate Notes due 9 August 2019 (series 1475, tranche 6) (PDF | 397.88 KB)
- USD 250,000,000 Reg S:144A Floating Rate Notes due 9 August 2019 (series 1475, tranche 2) (PDF | 174.44 KB)
- USD 250,000,000 Reg S:144A Floating Rate Notes due 9 August 2019 (series 1475, tranche 3) (PDF | 160.64 KB)
- USD 350,000,000 Reg S:144A Floating Rate Notes due 9 August 2019 (series 1475, tranche 4) (PDF | 56.77 KB)
- USD 500,000,000 Floating Rate Notes due 24 February 2020 (series 1467, tranche 2) (PDF | 61.74 KB)
- USD 500,000,000 Reg S:144A 3.125 per cent. Green Bonds due 5 December 2022 (series 1502) (PDF | 214.22 KB)
- USD 500000,000 Reg S:144a Floating Rate Notes due 24 February 2020 (series 1467, tranche 4) (PDF | 383.38 KB)
- USD 90,000,000 Reg S:144a Floating Rate Notes due 9 August 2019 (series 1475, tranche 5) (PDF | 384.89 KB)
Final terms 2017
- CHF 110,000,000 0.625 per cent. Notes due 21 August 2037 (series 1463) (PDF | 457.60 KB)
- EUR 1,000,000,000 0.625 per cent. Fixed Rate Notes due 18 January 2027 (series 1451) (PDF | 268.25 KB)
- EUR 1,500,000,000 0.250 per cent. Fixed Rate Affordable Housing Bonds due 7 June 2024 (series 1461) (PDF | 241.73 KB)
- EUR 10,000,000 Callable Fixed Rate Notes due 7 November 2047 (series 1468) (PDF | 238.60 KB)
- EUR 10,000,000 Callable Step-Up Notes due 9 June 2027 (series 1460) (PDF | 326.83 KB)
- EUR 100,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 10) (PDF | 315.88 KB)
- EUR 100,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 4) (PDF | 319.88 KB)
- EUR 125,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 5) (PDF | 332.52 KB)
- EUR 150,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 5) (PDF | 322.24 KB)
- EUR 25,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 3) (PDF | 274.03 KB)
- EUR 250,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 6) (PDF | 197.11 KB)
- EUR 250,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 7) (PDF | 295.54 KB)
- EUR 250,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 8) (PDF | 288.24 KB)
- EUR 250,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 9) (PDF | 317.66 KB)
- EUR 250,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 6) (PDF | 303.34 KB)
- EUR 30,000,000 1.77 per cent. Callable Notes due 23 December 2047 (series 1472) (PDF | 305.25 KB)
- EUR 50,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 4) (PDF | 323.50 KB)
- EUR 50,000,000 1.61 per cent. Fixed Rate Notes due 4 December 2052 (series 1471, tranche 2) (PDF | 283.59 KB)
- EUR 50,000,000 1.674 per cent. Fixed Rate Notes due 27 November 2047 (series 1470) (PDF | 261.90 KB)
- EUR 500,000,000 1.250 per cent. Fixed Rate Affordable Housing Bonds due 7 June 2032 (series 1462) (PDF | 246.37 KB)
- EUR 60,000,000 1.61 per cent. Fixed Rate Notes due 4 December 2052 (series 1471) (PDF | 267.53 KB)
- EUR 600,000,000 1.625 per cent. Fixed Rate Affordable Housing Bonds due 29 January 2048 (series 1465) (PDF | 195.45 KB)
- GBP 250,000,000 0.875 per cent. Fixed Rate Notes due 20 December 2021 (series 1456) (PDF | 195.88 KB)
- SEK 1,250,000,000 1.000 per cent. Green Bonds due 11 April 2025 (series 1458) (PDF | 326.69 KB)
- SEK 3,000,000,000 0.700 per cent. Green Bonds due 25 January 2023 (series 1453) (PDF | 278.78 KB)
- SEK 35,000,000 1.486 per cent. Notes due 24 April 2052 (series 1459) (PDF | 276.73 KB)
- SEK 380,000,000 2.34 per cent. Fixed Rate Notes due 10 April 2047 (series 1457) (PDF | 286.33 KB)
- USD 1,000,000,000 2.250 per cent. Notes due 2 March 2022 (series 1455) (PDF | 237.83 KB)
- USD 1,500,000,000 1.500 per cent. Notes due 23 January 2019 (series 1452) (PDF | 254.38 KB)
- USD 250,000000 1.875 per cent. Notes due 13 March 2019 (series 1376, tranche 2) (PDF | 202.79 KB)
- USD 500,000,000 1.500 per cent. Notes due 23 January 2019 (series 1452, tranche 2) (PDF | 45.85 KB)
- USD 500,000,000 1.750 per cent. Notes due 5 September 2019 (series 1396, tranche 2) (PDF | 203.95 KB)
- USD 500,000,000 Reg S:144A 2.125 per cent. Green Bonds due 15 November 2021 (series 1469) (PDF | 204.04 KB)
- USD 500,000,000 Reg S:144A Floating Rate Notes due 15 March 2019 (series 1466, tranche 2) (PDF | 212.48 KB)
- USD 500,000,000 Reg S:144A Floating Rate Notes due 15 March 2019 (series 1466) (PDF | 209.88 KB)
- USD 500,000,000 Reg S:144A Floating Rate Notes due 24 February 2020 (series 1467) (PDF | 211.83 KB)
- USD 500,000,000 Reg S:144A Floating Rate Notes due 8 February 2019 (series 1464) (PDF | 54.57 KB)
Final terms 2016
- AUD 100,000,000 Zero Coupon Notes due 28 January 2031 (series 1422) (PDF | 249.34 KB)
- EUR 1,000,000,000 0.500 per cent. Fixed Rate Notes due 19 January 2023 (series 1420) (PDF | 284.43 KB)
- EUR 1,500,000,000 0.050 per cent. Fixed Rate Notes due 10 February 2021 (series 1425) (PDF | 209.87 KB)
- EUR 100,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 2) (PDF | 277.77 KB)
- EUR 100,000,000 Step-up Fixed Rate Callable Notes due 29 September 2031 (series 1442) (PDF | 231.26 KB)
- EUR 100,000,000 Step-up Fixed Rate Callable Notes due 30 September 2031 (series 1443) (PDF | 259.56 KB)
- EUR 100,000,000 Step-up Fixed Rate Callable Notes due 7 October 2031 (series 1444) (PDF | 263.14 KB)
- EUR 110,000,000 0.50 per cent. Fixed Rate Notes due 29 April 2030 (series 1411, tranche 3) (PDF | 331.63 KB)
- EUR 110,000,000 Step-up Fixed Rate Callable Notes due 4 August 2031 (series 1439) (PDF | 268.46 KB)
- EUR 20,000,000 Callable Zero Coupon due 21 January 2056 (series 1421) (PDF | 402.02 KB)
- EUR 200,000,000 Callable Fixed Rate Notes due 21 April 2046 (series 1431) (PDF | 264.11 KB)
- EUR 25,000,000 Zero Coupon Notes due 18 October 2046 (series 1446) (PDF | 251.95 KB)
- EUR 250,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 2) (PDF | 257.96 KB)
- EUR 250,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 3) (PDF | 190.51 KB)
- EUR 40,000,000 0.5 per cent. Fixed Rate Notes due 29 April 2030 (series 1411, tranche 4) (PDF | 246.96 KB)
- EUR 40,000,000 Step Up Fixed Rate Callable Notes due 14 November 2031 (series 1448) (PDF | 272.87 KB)
- EUR 50,000,000 1.4275 per cent. Fixed Rate Callable Notes due 14 November 2046 (series 1447) (PDF | 283.85 KB)
- EUR 50,000,000 Step Up Fixed Rate Callable Notes due 2 June 2031 (series 1449) (PDF | 243.33 KB)
- EUR 500,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445) (PDF | 246.38 KB)
- EUR 500,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435) (PDF | 234.74 KB)
- EUR 52,000,000 1.90 per cent. Callable Notes due 21 December 2046 (series 1450) (PDF | 264.27 KB)
- GBP 150,000,000 1.000 per cent. Fixed Rate Notes due 9 December 2019 (series 1426, tranche 2) (PDF | 260.39 KB)
- GBP 250,000,000 1.000 per cent. Fixed Rate Notes due 9 December 2019 (series 1426) (PDF | 228.51 KB)
- USD 1,000,000,000 1.250 per cent. Fixed Rate Notes due 9 September 2019 (series 1441) (PDF | 201.69 KB)
- USD 1,000,000,000 2.375 per cent. Green Bond due 26 March 2026 (series 1427) (PDF | 200.71 KB)
- USD 1,400,000,000 0.875 per cent. Fixed Rate Notes due 13 July 2018 (Series 1438) (PDF | 201.23 KB)
- USD 10,000,000 callable fixed to floating note due 27 January 2023 (series 1423) (PDF | 359.28 KB)
- USD 100,000,000 1.875 per cent. Fixed Rate Notes due 14 April 2022 (series 1410, tranche 2) (PDF | 194.14 KB)
- USD 100,000,000 1.875 per cent. Fixed Rate Notes due 14 April 2022 (series 1410, tranche 3) (PDF | 194.77 KB)
- USD 100,000,000 1.875 per cent. Fixed Rate Notes due 14 April 2022 (series 1410, tranche 4) (PDF | 259.87 KB)
- USD 100,000,000 1.875 per cent. Fixed Rate Notes due 14 April 2022 (series 1410, tranche 5) (PDF | 264.02 KB)
- USD 100,000,000 1.875 per cent. Fixed Rate Notes due 14 April 2022 (series 1410, tranche 6) (PDF | 204.01 KB)
- USD 250,000,000 1.500 per cent. Fixed Rate Notes due 16 April 2018 (series 1384, tranche 3) (PDF | 237.42 KB)
- USD 300,000,000 Floating Rate Notes due 13 October 2017 (series 1417, tranche 2) (PDF | 204.90 KB)
- USD 500,000,000 1.500 per cent. Fixed Rate Notes due 16 April 2018 (series 1384, tranche 2) (PDF | 50.01 KB)
Final terms 2015
- EUR 1,000,000,000 1.000% Green Bond due 3 September 2025 (series 1414) (PDF | 265.43 KB)
- EUR 100,000,000 Callable Zero Coupon Notes due 22 January 2065 (series 1400) (PDF | 284.11 KB)
- EUR 2,000,000,000 0.500% Notes due 27 October 2022 (series 1418) (PDF | 402.74 KB)
- EUR 200,000,000 0.5% Notes due 29 April 2030 (series 1411, tranche 2) (PDF | 251.61 KB)
- EUR 750,000,000 0.5% Notes due 29 April 2030 (series 1411) (PDF | 255.29 KB)
- GBP 250,000,000 0.875% Notes due 7 March 2018 (series 1409) (PDF | 268.16 KB)
- USD 1,000,000,000 1.625% Notes due 4 March 2020 (series 1405) (PDF | 203.61 KB)
- USD 1,250,000,000 1.875% Notes due 14 April 2022 (series 1410) (PDF | 211.58 KB)
- USD 1,500,000,000 1.25% Notes due 16 January 2018 (series 1401) (PDF | 206.09 KB)
- USD 500,000,000 Floating Rate Notes due 13 October 2017 (series 1417) (PDF | 87.01 KB)
- USD 600,000,000 1.25% Notes due 18 September 2017 (series 1397, tranche 3) (PDF | 206.79 KB)
Final terms 2014
- EUR 1,000,000,000 1.125% Notes due 28 January 2019 (series 1371) (PDF | 234.60 KB)
- EUR 10,000,000 2.73 per cent. Notes due 17 March 2034 (series 1377) (PDF | 289.77 KB)
- EUR 100,000,000 Floating Rate Notes due 1 November 2018 (series 1300, tranche 3) (PDF | 3,680.35 KB)
- EUR 125,000,000 Floating Rate Notes due 1 November 2018 (series 1300, tranche 4) (PDF | 1,923.64 KB)
- EUR 15,000,000 2.15 per cent. Notes due 28 July 2034 (series 1393) (PDF | 276.14 KB)
- EUR 150,000,000 Floating Rate Notes due 1 November 2018 (series 1300, tranche 5) (PDF | 1,777.60 KB)
- EUR 20,000,000 Floating Rate Notes due August 2024 (series 1394) (PDF | 541.16 KB)
- EUR 250,000,000 0.750% Notes due 5 March 2018 (series 1375, tranche 2) (PDF | 222.04 KB)
- EUR 50,000,000 Callable Zero Coupon Notes due 14 May 2064 (series 1386) (PDF | 322.91 KB)
- EUR 50,000,000 Callable Zero Coupon Notes due 3 June 2064 (series 1388) (PDF | 327.92 KB)
- EUR 500,000,000 0.750% Notes due 5 March 2018 (series 1375) (PDF | 244.01 KB)
- EUR 60,000,000 Callable Zero Coupon Notes due 1 July 2064 (series 1389) (PDF | 841.44 KB)
- Formosa Bond - USD 250,000,000 Multi-Callable Zero Coupon Notes due 28 November 2044 (series 1399) (PDF | 272.13 KB)
- GBP 250,000,000 2.000% Notes due 28 December 2018 (series 1391) (PDF | 268.54 KB)
- GBP 250,000,000 Floating Rate Notes due 9 April 2018 (series 1382) (PDF | 214.52 KB)
- Green Bond - EUR 500,000,000 0.625 per cent. Fixed Rate Notes due 3 July 2019 (series 1392) (PDF | 291.77 KB)
- JPY 1,000,000,000 Callable Fixed Rate to Floored and Capped FX Linked Interest Dual Currency Notes due March 2025 (series 1398) (PDF | 414.21 KB)
- JPY 1,000,000,000 Fixed Rate to Floored and Capped FX Linked Interest Notes due April 2044 (Series 1378) (PDF | 413.08 KB)
- JPY 1,000,000,000 Fixed Rate to Floored and Capped FX Linked Interest Notes due April 2044 (Series 1379) (PDF | 421.39 KB)
- JPY 1,000,000,000 Fixed Rate to Floored and Capped FX Linked Interest Notes due April 2044 (Series 1380) (PDF | 407.74 KB)
- JPY 1,000,000,000 Fixed Rate to Floored and Capped FX Linked Interest Notes due April 2044 (Series 1381) (PDF | 415.21 KB)
- JPY 3,000,000,000 Fixed Rate Note due April 2054(series 1385) (PDF | 215.10 KB)
- JPY 500,000,000 Fixed to Capped FX linked Interest Notes due March 2043 (series 1373) (PDF | 467.93 KB)
- JPY 500,000,000 Fixed to Capped FX linked Interest Notes due March 2043 (series 1374) (PDF | 468.84 KB)
- JPY 500,000,000 Fixed to FX Linked Interest Notes due 22 April 2044 (series 1383) (PDF | 384.23 KB)
- USD 1,500,000,000 0.375% Notes due 14 December 2015 (series 1390) (PDF | 237.80 KB)
- USD 1,500,000,000 1.25% Notes due 18 September 2017 (series 1397) (PDF | 206.72 KB)
- USD 1,750,000,000 1.875% Notes due 13 March 2019 (series 1376) (PDF | 292.40 KB)
- USD 100,000,000 0.375% Notes due 14 December 2015 (series 1390, tranche 2) (PDF | 291.92 KB)
- USD 150,000,000 Floating Rate Notes due 14 February 2018 (series 1372, tranche 2) (PDF | 223.16 KB)
- USD 250,000,000 0.500 per cent. Notes due 4 March 2016 (series 1395, tranche 4) (PDF | 211.69 KB)
- USD 250,000,000 Increase of the USD 750,000,000 0.500% Notes due 4 March 2016 (series 1395) (PDF | 204.41 KB)
- USD 300,000,000 Floating Rate Notes due 14 February 2018 (series 1372, tranche 3) (PDF | 298.01 KB)
- USD 350,000,000 Floating Rate Notes due 14 February 2018 (series 1372) (PDF | 52.97 KB)
- USD 400,000,000 Floating Rate Notes due 14 February 2018 (series 1372, tranche 6) (PDF | 844.38 KB)
- USD 45,000,000 3.91% Callable Notes due 23 May 2039 (series 1387) (PDF | 215.83 KB)
- USD 500,000,000 0.500 per cent. Notes due 4 March 2016 (series 1395, tranche 3) (PDF | 211.60 KB)
- USD 500,000,000 0.75 per cent. Notes due 29 March 2016 (series 1321, tranche 2) (PDF | 424.00 KB)
- USD 500,000,000 1.25% Notes due 18 September 2017 (series 1397, tranche 2) (PDF | 286.96 KB)
- USD 500,000,000 1.750% Notes due 5 September 2019 (series 1396) (PDF | 206.04 KB)
- USD 500,000,000 Floating Rate Notes due 14 February 2018 (series 1372, tranche 4) (PDF | 795.01 KB)
- USD 500,000,000 Floating Rate Notes due 14 February 2018 (series 1372, tranche 5) (PDF | 806.71 KB)
- USD 750,000,000 0.500% Notes due 4 March 2016 (series 1395) (PDF | 202.72 KB)
- USD 750,000,000 1,500% Notes due 16 April 2018 (series 1384) (PDF | 292.86 KB)
Final terms 2013
- AUD 100,000,000 4.00 per cent. Notes due 24 January 2018 (series 1308) (PDF | 395.81 KB)
- AUD 30,000,000 5.420 per cent. Notes due 28 May 2043 (series 1334) (PDF | 263.34 KB)
- AUD 30,000,000 5.58% per cent. Notes due 1 Aug 2028 (series 1349) (PDF | 271.17 KB)
- AUD 30,000,000 5.93 per cent. Notes due 6 September 2033 (series 1353) (PDF | 253.69 KB)
- AUD 60,000,000 5.315 per cent. Notes due 17 July 2043 (series 1346) (PDF | 268.99 KB)
- CAD 100,000,000 2.125 per cent. Notes due 22 January 2018 (series 1307) (PDF | 383.58 KB)
- EUR 1,000,000,000 1.750% Notes due 9 July 2020 (series 1345) (PDF | 162.90 KB)
- EUR 100,000,000 Floating Rate Notes due 1 November 2018 (series 1300, tranche 2) (PDF | 1,034.95 KB)
- EUR 18,200,000 Floating Rate Notes due January 2030 (series 1309) (PDF | 210.87 KB)
- EUR 20,000,000 2.81 per cent. Notes due 21 June 2038 (series 1339) (PDF | 226.82 KB)
- EUR 25,000,000 2.80% Fixed Rate Notes due 30 January 2045 (Series 1313, Tranche 2) (PDF | 297.16 KB)
- EUR 278,000,000 2.80 per cent. Notes 2013 due 30 January 2045 (series 1313) (PDF | 251.39 KB)
- EUR 50,000,000 Floating Rate Notes due April 2020 (series 1326) (PDF | 623.12 KB)
- EUR 500,000,000 2.905 per cent. notes due 12 december 2033 (series 1366) (PDF | 264.53 KB)
- EUR 500,000,000 3.000 per cent. Notes due 11 September 2031 (series 1354) (PDF | 274.31 KB)
- GBP 100,000,000 Floating Rate Notes due 28 November 2014 (series 1344) (PDF | 676.84 KB)
- JPY 1,000,000,000 Fixed Rate Floored and Capped Index Linked Interest Notes due 15 May 2043 (series 1333) (PDF | 349.15 KB)
- JPY 1,000,000,000 Fixed Rate Floored and Capped IndexLinked Interest Notes due March 2043 (series 1317) (PDF | 323.57 KB)
- JPY 1,100,000,000 Fixed Rate to Floored and Capped FX Linked Interest Notes due 4 December 2043 (series 1363) (PDF | 431.36 KB)
- JPY 1,150,000,000 Fixed to Capped FX-Linked Interest Notes due 26 March 2043 (series 1322) (PDF | 336.49 KB)
- JPY 1,200,000,000 Fixed and FX Linked Interest Notes due 19 December 2033 (series 1368) (PDF | 434.04 KB)
- JPY 1,250,000,000 Fixed Rate Floored and Capped Index Linked Interest Notes due 18 February 2043 (Series 1316) (PDF | 323.04 KB)
- JPY 1,650,000,000 Fixed Rate to Floored and Capped Index Linked Notes due 15 May 2043 (series 1332) (PDF | 447.96 KB)
- JPY 500,000,000 Callable Currency Linked Redemption Fixed Rate Floored and Capped FX Linked Interest Notes due 30 October 2033 (series 1361) (PDF | 446.85 KB)
- JPY 500,000,000 Fixed Rate Floored and Capped Index Linked Interest Notes due 25 March 2033 (series 1324) (PDF | 323.76 KB)
- JPY 500,000,000 Fixed Rate to Floored and Capped Index Linked Interest Notes due 5 February 2043 (series 1310) (PDF | 310.38 KB)
- JPY 500,000,000 Fixed Rate to Floored and Capped Index Linked Notes due 26 March 2043 ( serie 1323) (PDF | 434.26 KB)
- JPY 500,000,000 Fixed Rate to Floored Index Linked Interest Notes due 19 February 2043 (Series 1314) (PDF | 311.94 KB)
- JPY 500,000,000 Fixed to FX Linked Interest Notes due 12 March 2043 (series 1318) (PDF | 314.67 KB)
- JPY 500,000,000 Fixed to FX Linked Interest Notes due 13 May 2043 (series 1330) (PDF | 420.69 KB)
- JPY 500,000,000 Fixed to FX Linked Interest Notes due 13 May 2043 (series 1331) (PDF | 417.95 KB)
- JPY 500,000,000 Fixed to FX Linked Interest Notes due 20 September 2028 (series 1357) (PDF | 330.16 KB)
- JPY 500,000,000 Fixed to FX Linked Interest Notes due 26 March 2043 (series 1320) (PDF | 311.96 KB)
- JPY 500,000,000 Floored Index Linked Interest Notes due 8 May 2028 (series 1328) (PDF | 297.21 KB)
- JPY 600,000,000 FX Linked Interest Notes due 13 May 2043 (series 1329) (PDF | 350.62 KB)
- JPY 750,000,000 Fixed Rate to Floored and Capped Index Linked Interest Notes due 3 April 2043 (series 1325) (PDF | 314.53 KB)
- JPY 800,000,000 Fixed Index Linked Notes due 12 February 2043 (series 1311) (PDF | 311.73 KB)
- JPY 800,000,000 Fixed Rate to Floored and Capped Index Linked Interest Notes due 16 January 2043 (series 1306) (PDF | 301.03 KB)
- JPY 900,000,000 Fixed Index Linked Notes due 12 February 2043 (series 1312) (PDF | 314.23 KB)
- USD 150,000,000 Floating Rate Notes due 18 October 2016 (series 1360, tranche 3) (PDF | 61.05 KB)
- USD 1b 0.75 per cent. Notes due 29 March 2016 (series 1321) (PDF | 223.60 KB)
- USD 20,000,000 Callable Zero Coupon Notes due February 2043 (series 1315) (PDF | 291.64 KB)
- USD 220,000,000 Callable Zero Coupon Notes due 23 December 2043 (series 1369) (PDF | 288.50 KB)
- USD 250,000,000 Floating Rate Notes due 18 October 2016 (series 1360, tranche 2) (PDF | 261.53 KB)
- USD 30,000,000 Multi-Callable Zero Coupon Notes due 26 March 2043 (series 1319) (PDF | 302.89 KB)
- USD 30,000,000 zero coupon notes due 17 december 2043 (series 1365) (PDF | 300.50 KB)
- USD 500,000,000 Floating Rate Notes due 27 October 2014 (series 1327, tranche 3) (PDF | 318.43 KB)
- USD 500,000,000 Floating Rate Notes due 6 November 2014 (series 1350) (PDF | 484.00 KB)
- USD 600,000,000 Floating Rate Notes due 27 October 2014 (series 1327, tranche 2) (PDF | 256.26 KB)
- USD 750,000,000 Floating Rate Notes due 18 October 2016 (series 1360) (PDF | 248.70 KB)
- USD 750,000,000 Floating Rate Notes due 4 November 2015 (serie 1362) (PDF | 409.45 KB)
- USD 900,000,000 Floating Rate Notes due 27 October 2014 (series 1327) (PDF | 261.46 KB)
- USD_500,000,000 Floating Rate Note due 17 March 2015 (series 1370) (PDF | 53.06 KB)
- USD_500,000,000 Floating Rate Notes due 12 June 2015 (series_1367) (PDF | 245.99 KB)
Final terms 2012
- AUD 300,000,000 5% Notes due 8 August 2022 (series 1282) (PDF | 197.36 KB)
- AUD 50,000,000 5.02% Notes due 27 September 2022 (series 1292) (PDF | 294.05 KB)
- CHF 100,000,000 1.25% Notes due 9 August 2024 (series 1274) (PDF | 395.61 KB)
- CHF 175,000,000 1.375% Notes due 13 September 2027 (series 1284) (PDF | 376.88 KB)
- EUR 1,500,000,000 1.625% Notes 2012 due 23 August 2019 (series 1285) (PDF | 237.97 KB)
- EUR 10,000,000 Non-Interest bearing FX-linked Redemption Notes due 21 September 2022 (series 1293) (PDF | 262.95 KB)
- EUR 100,000,000 4.375% Notes due 22 January 2018 (series 1040-II) (PDF | 1,358.20 KB)
- EUR 100,000,000 Floating Rate Notes due 1 November 2018 (series 1300) (PDF | 1,232.94 KB)
- EUR 100,000,000 Floating Rate Notes due 20 July 2015 (series 1277) (PDF | 286.83 KB)
- EUR 250,000,000 3.250% Notes due 9 March 2027 (series 1245-II) (PDF | 267.96 KB)
- GBP 10,800,000 Fixed to Floating Rate Notes due 2 August 2017 (series 1281) (PDF | 276.09 KB)
- GBP 100,000,000 2.125% Notes due 7 September 2016 (series 1239-II) (PDF | 4,661.96 KB)
- GBP 100,000,000 Floating Rate Notes due 24 April 2014 - Tranche 2 (series 1258 -II) (PDF | 1,968.52 KB)
- GBP 100,000,000 Floating Rate Notes due 27 April 2015 - Tranche 4 (series 1259-IV) (PDF | 294.01 KB)
- GBP 200,000,000 Floating Rate Notes due 25 January 2016 (series 1279) (PDF | 267.96 KB)
- JPY 300,000,000 FX Linked Interest Note due 2 August 2027 (series 1278) (PDF | 315.91 KB)
- JPY 300,000,000 SURF Rate Notes due 2 August 2027 (series 1275) (PDF | 292.46 KB)
- JPY 500,000,000 Fixed Rate and Index Linked Interest Notes due 5 December 2042 (series 1304) (PDF | 310.43 KB)
- JPY 500,000,000 Fixed Rate Floored and Capped Index Linked Interest Notes due 11 July 2042 (series 1303) (PDF | 296.69 KB)
- JPY 500,000,000 Fixed to FX Linked Interest Notes due 16 September 2042 (series 1296) (PDF | 341.28 KB)
- JPY 500,000,000 Fixed to FX Linked Interest Notes due 16 September 2042 (series 1298) (PDF | 342.13 KB)
- JPY 500,000,000 FX Linked Notes due 8 November 2032 (series 1302) (PDF | 318.77 KB)
- JPY 500,000,000 Reverse Dual Currency Notes due 25 October 2024 (series 1299) (PDF | 326.05 KB)
- JPY 500,000,000 Reverse Dual Currency Notes due 4 October 2022 (series 1295) (PDF | 331.07 KB)
- JPY 600,000,000 Fixed to FX Linked Interest Notes due 15 October 2042 (series 1297) (PDF | 334.43 KB)
- JPY 600,000,000 Fixed to FX Linked Notes due 7 November 2042 (series 1301) (PDF | 335.96 KB)
- JPY 800,000,000 Fixed to FX Linked Interest Notes due 5 September 2042 (series 1288) (PDF | 329.34 KB)
- JPY 850,000,000 Fixed to FX Linked Interest Notes due 18 September 2042 (series 1289) (PDF | 335.83 KB)
- NOK 325,000,000 3.375% Notes due 3 April 2017 - Tranche 7 (series 1253 -VII) (PDF | 2,399.56 KB)
- NOK 600,000,000 3.375% Notes due 3 April 2017 (series 1253-VI) (PDF | 2,399.56 KB)
- NZD 100,000,000 4.25% Notes due 26 July 2017 (series 1276) (PDF | 380.21 KB)
- SEK 200,000,000 2.75% Notes due 24 April 2017 - Tranche 2 (series 1255-II) (PDF | 4,566.79 KB)
- SEK 200,000,000 Floating Rate Notes due 27 May 2015 (series 1220-IV) (PDF | 3,676.66 KB)
- SEK 400,000,000 2.75% Notes due 24 April 2017 - Tranche 3 (series 1255-III) (PDF | 2,331.27 KB)
- USD 10,000,000 Callable Fixed and Floating Rate Notes due 24 August 2022 (series 1283) (PDF | 341.24 KB)
- USD 10,000,000 Callable Fixed to Floating Rate Notes due 6 July 2022 (series 1271 (PDF | 345.60 KB)
- USD 10,000,000 Floating Rate Notes due 3 August 2017 (series 1280) (PDF | 262.72 KB)
- USD 176,000,000 Callable Zero Coupon Notes due 30 August 2042 (series 1286) (PDF | 241.92 KB)
- USD 180,000,000 Callable Zero Coupon Notes due 9 July 2042 (series 1272) (PDF | 280.07 KB)
- USD 25,000,000 Callable Zero Coupon Notes due 18 July 2042 (series 1273) (PDF | 281.12 KB)
- USD 25,000,000 Callable Zero Coupon Notes due 24 September 2042 (series 1290) (PDF | 286.59 KB)
- USD 25,000,000 Callable Zero Coupon Notes due 25 September 2042 (series 1291) (PDF | 279.99 KB)
- USD 68,900,000 Callable Zero Coupon Notes due 30 August 2042 (series 1287) (PDF | 242.43 KB)