|
Programme
|
|
|
* Documents
|
ABN AMRO Bank N.V. (Re-named as The Royal Bank of Scotland N.V. with effect from 6 Feb 2010) |
Retail Programme for the Issuance of Securities |
“Double-Up Callable” Notes Series No. 7 and 8 |
18/10/2005
|
Documents
|
ABN AMRO Bank N.V. (Re-named as The Royal Bank of Scotland N.V. with effect from 6 Feb 2010) |
Retail Programme for the Issuance of Securities |
Double-Up Protect Notes Series No. 5 and 6 |
15/8/2005
|
Documents
|
ABN AMRO Bank N.V. (Re-named as The Royal Bank of Scotland N.V. with effect from 6 Feb 2010) |
Retail Programme for the Issuance of Securities |
“Toast to Double Advantages” Joyous Notes Series No. 3 |
27/7/2005
|
Documents
|
ABN AMRO Bank N.V. (Re-named as The Royal Bank of Scotland N.V. with effect from 6 Feb 2010) |
Retail Programme for the Issuance of Securities |
Capital Protected Notes Series No. 2 |
1/3/2005
|
Documents
|
ABN AMRO Bank N.V. (Re-named as The Royal Bank of Scotland N.V. with effect from 6 Feb 2010) |
Retail Programme for the Issuance of Securities |
Capital Protected Notes Series No. 1 |
31/8/2004
|
Documents
|
Allegro Investment Corporation S.A. |
Retail Secured Note Programme |
Allegro Equity-Linked Notes – “Lock Swing” Notes |
6/1/2006
|
Documents
|
Allegro Investment Corporation S.A. |
Retail Secured Note Programme |
Allegro Equity-Linked Notes – Non-Principal Protected Leverage Plus “Infinity” Notes |
9/12/2005
|
Documents
|
Allegro Investment Corporation S.A. |
Retail Secured Note Programme |
China & Hong Kong Golden 8 Notes |
7/1/2005
|
Documents
|
Allegro Investment Corporation S.A. |
Retail Secured Note Programme |
Bonus Target Redemption Notes |
12/11/2004
|
Documents
|
Allegro Investment Corporation S.A. |
Retail Secured Note Programme |
Global Champions Locked Return Notes |
21/10/2004
|
Documents
|
Allegro Investment Corporation S.A. |
Retail Secured Note Programme |
HK$ Auto-Callable Snowball Notes |
23/7/2004
|
Documents
|
Atlantic International Finance Limited |
Secured Note Programme |
|
1/9/2008
|
Documents
|
Atlantic International Finance Limited |
Secured Note Programme |
|
14/5/2008
|
Documents
|
Atlantic International Finance Limited |
Secured Note Programme |
|
14/4/2008
|
Documents
|
Atlantic International Finance Limited |
Secured Note Programme |
|
26/10/2007
|
Documents
|
Atlantic International Finance Limited |
Secured Note Programme |
|
26/7/2007
|
Documents
|
Atlantic International Finance Limited |
Secured Note Programme |
|
30/5/2007
|
Documents
|
Atlantic International Finance Limited |
Secured Note Programme |
ProFund Notes Series 2 |
23/2/2007
|
Documents
|
Atlantic International Finance Limited |
Secured Note Programme |
|
10/11/2006
|
Documents
|
Atlantic International Finance Limited |
Secured Note Programme |
|
24/7/2006
|
Documents
|
Atlantic International Finance Limited |
Secured Note Programme |
ProFund Notes Series 1 |
30/6/2006
|
Documents
|
Bank of China Limited |
|
RMB 2.65% Bonds due 2012 (Tranche A Bonds) and RMB 2.90% Bonds due 2013 (Tranche B Bonds) |
7/9/2010
|
Documents
|
Bank of China Limited |
|
RMB 3.25% Bonds (Tranche A) and RMB 3.40% Bonds (Tranche B) |
3/9/2008
|
Documents
|
Bank of China Limited |
|
RMB 3.15% Bonds (Tranche A) and RMB 3.35% Bonds (Tranche B) |
11/9/2007
|
Documents
|
Bank of Communications Co., Ltd. |
|
RMB 3.25% Bonds |
15/7/2008
|
Documents
|
Barclays Bank Plc |
Retail Note Issuance Programme |
Innobond Series No. 2 |
6/1/2006
|
Documents
|
Barclays Bank Plc |
Retail Note Issuance Programme |
Innobond Series No. 1 |
2/9/2005
|
Documents
|
Bauhinia MBS Limited |
|
Retail Mortgage-Backed Securities |
18/10/2004
|
Documents
|
Bear Stearns Global Asset Holdings, Ltd. |
Retail Note Programme |
Structured Retail Notes Series 3 “SWING” Equity-Linked Notes |
4/10/2005
|
Documents
|
Bear Stearns Global Asset Holdings, Ltd. |
Retail Note Programme |
Structured Retail Notes Series 2 Non-Principal Protected Early Redeemable Target Notes |
23/6/2005
|
Documents
|
Bear Stearns Global Asset Holdings, Ltd. |
Retail Note Programme |
Structured Retail Notes Series 1 AutoCall Non-Principal Protected Equity-Linked Notes |
2/7/2004
|
Documents
|
Besteam Limited |
|
Rights Issue of 11,578,345,524 Rights Shares at HK$0.015 each on the basis of nine Rights Shares for every existing Share held on the Record Date |
22/6/2005
|
Documents
|
BNP Paribas Retail Note Issuance Limited |
Retail Note Programme |
Elite Series 1 Fixed Rate Callable First-to-Default Credit-Linked Notes |
5/10/2005
|
Documents
|
BOCHK Financial Products (Cayman) Ltd. |
Retail Note Issuance Programme |
BOCHK Prime Notes Series 8 and 9 Equity-Linked Notes |
28/9/2007
|
Documents
|
BOCHK Financial Products (Cayman) Ltd. |
Retail Note Issuance Programme |
BOCHK Prime Notes Series 6 and 7 Equity-Linked Notes |
6/7/2007
|
Documents
|
BOCHK Financial Products (Cayman) Ltd. |
Retail Note Issuance Programme |
BOCHK Prime Notes Series 4 and 5 Equity-Linked Notes |
21/6/2007
|
Documents
|
BOCHK Financial Products (Cayman) Ltd. |
Retail Note Issuance Programme |
BOCHK Prime Notes Series 2 and 3 Equity-Linked Notes |
10/5/2007
|
Documents
|
BOCHK Financial Products (Cayman) Ltd. |
Retail Note Issuance Programme |
BOCHK Prime Notes Series 1 Equity-Linked Notes |
2/2/2007
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series XIII Equity-Linked Notes |
10/3/2006
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series XII Equity-Linked Notes |
14/11/2005
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series XI Equity-Linked Notes |
12/8/2005
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series X Equity-Linked Notes |
15/6/2005
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series IX Equity-Linked Notes |
22/4/2005
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series VIII Callable Equity Linked Notes |
25/2/2005
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series VII Callable Equity Linked Notes |
24/12/2004
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series VI Callable Equity Linked Notes |
5/11/2004
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series V Callable Equity Linked Notes |
24/9/2004
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series III Callable Equity Linked Notes |
9/7/2004
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series II Principal Protected Target Redemption Notes |
19/3/2004
|
Documents
|
BOCI Asia Limited |
Retail Note Programme |
Flexibond Series I Equity Linked to the ordinary shares of HSBC Holdings Plc and Credit Linked to PCCW-HKT Telephone Limited |
2/1/2004
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 22 and 23 Equity Linked Notes |
17/1/2008
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
|
28/6/2007
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Income Bonds Series 1 Credit Linked Notes |
29/3/2007
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 21 Equity Linked Notes |
19/3/2007
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 20 Large-Cap China Shares Callable Notes |
17/1/2007
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 19 Large-Cap Callable Notes |
12/12/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 18 Large-Cap Callable Notes |
24/11/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
|
24/10/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 17 Large-cap China Shares Callable Notes |
3/10/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 13 – 16 Principal Protected Notes |
6/9/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 12 Large-cap Callable Notes |
17/8/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 11 Large-cap China Shares Callable Notes |
26/6/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 9 and 10 Principal Protected Notes |
23/6/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes “A Major” Series 7-8 Equity Linked Notes |
17/3/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 6 Principal Protected Notes |
8/3/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 5 Large-cap Callable Notes |
15/2/2006
|
Documents
|
Calyon Financial Products (Guernsey) Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 3 and 4 Equity-Linked Notes |
29/11/2005
|
Documents
|
Calyon Investment Products Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 2 “Large-Cap Trio” Retail Notes |
16/9/2005
|
Documents
|
Calyon Investment Products Limited |
Retail Note Issuance Programme |
Calyon Fortune Notes Series 1 “HSBC Shares Linked Callable Notes” |
12/8/2005
|
Documents
|
Calyon Investment Products Limited |
Retail Note Issuance Programme |
Structured Retail Notes Series 5 Autocallable Equity-Linked Notes |
11/1/2005
|
Documents
|
Calyon Investment Products Limited |
Retail Note Issuance Programme |
Structured Retail Notes Series 4 Equity Linked Notes |
3/12/2004
|
Documents
|
Calyon Investment Products Limited |
Retail Note Issuance Programme |
Structured Retail Notes Series 3 Equity Linked Notes with Target Redemption Feature |
21/10/2004
|
Documents
|
Calyon Investment Products Limited |
Retail Note Issuance Programme |
Structured Retail Notes Series 2 Equity Linked Notes |
6/8/2004
|
Documents
|
Cheung Kong Bond Finance Limited |
Retail Note Issuance Programme |
Series No. CKH0101 – HK Dollar Equity-Linked Notes due 2008
Series No. CKH0102 – US Dollar Equity-Linked Notes due 2008 |
12/10/2007
|
Documents
|
Cheung Kong Bond Finance Limited |
Retail Note Issuance Programme |
Series No. CKH0201 Giant Notes |
9/9/2005
|
Documents
|
Cheung Kong Bond Finance Limited |
Retail Note Issuance Programme |
Series No. CKH0303 HK Dollar Equity-Linked Notes due 2008 |
22/4/2005
|
Documents
|
Cheung Kong Bond Finance Limited |
Retail Note Issuance Programme |
Series No. CKH0302 HK Dollar Equity-Linked Notes due 2007 |
18/1/2005
|
Documents
|
Cheung Kong Bond Finance Limited |
Retail Note Issuance Programme |
Series No. CKH0502 Capital Guaranteed Notes due 2009 |
30/1/2004
|
Documents
|
China Construction Bank Corporation |
|
RMB 3.24% Bonds due 2010 |
26/8/2008
|
Documents
|
China Development Bank Corporation |
|
RMB 2.70 per cent. Bonds due 2013 |
15/10/2010
|
Documents
|
China Development Bank Corporation |
|
Renminbi 2.45% Bonds due 2011 |
24/7/2009
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
|
12/9/2008
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
|
1/8/2008
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
Citrine Notes - Equity Linked Series 10 |
21/7/2008
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
Citrine Notes - Equity Linked Series 9 |
5/6/2008
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
Citrine Notes - Equity Linked Series 9 |
23/5/2008
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
Citrine Notes - Equity Linked Series 8 |
18/3/2008
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
Citrine Notes - Equity Linked Series 7 |
11/1/2008
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
Citrine Notes - Index Linked Series 6 |
15/5/2007
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
Citrine Notes - Fund Linked Series 5 |
16/3/2007
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
Citrine Notes - Equity Linked Series 4 |
29/12/2006
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
Citrine Notes - Equity Linked Series 3 |
3/10/2006
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
|
22/8/2006
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
China Tracker Fund Linked Notes Series 2 |
28/7/2006
|
Documents
|
Citrine Global Finance Limited |
U.S.$8,000,000,000 Retail Secured Note Programme |
Citrine Notes - Equity Linked Series 1 |
9/1/2006
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
|
14/4/2008
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 82-85 – Callable Credit-Linked Notes |
31/7/2007
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 78-81 – Callable Credit-Linked Notes |
15/6/2007
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 71-74 – Callable Credit-Linked Notes |
17/4/2007
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
|
26/2/2007
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 67-70 – Callable Credit-Linked Notes |
7/2/2007
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 63-66 – Callable Credit-Linked Notes |
5/1/2007
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 59-62 – Callable Credit-Linked Notes |
29/11/2006
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
|
1/11/2006
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 55-58 – Callable Credit-Linked Notes |
20/10/2006
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 51-54 – Equity-Linked Notes |
10/10/2006
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 47-50 – Callable Credit-Linked Notes |
22/8/2006
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 43-46 – Callable Credit-Linked Notes |
28/6/2006
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 39-42 – Callable Credit-Linked Notes |
19/4/2006
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 34-37 – Callable Credit-Linked Notes |
20/2/2006
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 30-33 – Callable Credit-Linked Notes |
6/1/2006
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 26-29 – Callable Credit-Linked Notes |
21/11/2005
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 22-25 – Callable Credit-Linked Notes |
29/9/2005
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 18-21 – Callable Credit-Linked Notes |
22/8/2005
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 14-17 – Callable Credit-Linked Notes |
7/6/2005
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 12 and 13 – “Equity Triggered Credit Event” Callable Notes |
22/2/2005
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 10 and 11 - Callable Global Corporate Basket Credit-Linked Notes |
7/1/2005
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 8 and 9 - Callable Global Corporate Basket Credit-Linked Notes |
5/11/2004
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 6 and 7 - Callable Financial Institution Basket Credit-Linked Notes |
16/7/2004
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 3 and 4 - Bank Basket Callable Credit-Linked Notes |
30/1/2004
|
Documents
|
Constellation Investment Ltd. |
U.S.$5,000,000,000 Limited Recourse Secured Note Programme |
Series 2 - Bank Basket Callable Credit-Linked Notes |
2/1/2004
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 42 – US$ “Oil Star” Callable Capital Guaranteed Securities |
10/11/2005
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 41 – HK$ “Energy Star” Auto-Callable Securities |
9/11/2005
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 38 – US$ “Bank Star” Callable Capital Guaranteed Securities |
23/9/2005
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 36 – Formation US$ 8.5% Minimum Return Callable Capital Guaranteed Securities |
5/8/2005
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 29 – Tranche A and Tranche B – USA Out-Performance 2 Fixed Coupon Capital Guaranteed Target Redemption Securities |
8/6/2005
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 30 – Tranche A and Tranche B – HK Out-Performance Fixed Coupon Capital Guaranteed Target Redemption Securities |
8/6/2005
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 28 – Escalator 2 years HK$ Securities |
3/6/2005
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 5 – USA Out-Performance Fixed Coupon Capital Guaranteed Target Redemption Securities |
28/2/2005
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 4 – Power Start HKD18% p.a. Securities |
28/1/2005
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 3 – Cross Country Capital Guaranteed Securities |
19/11/2004
|
Documents
|
Credit Suisse First Boston Investment Products (Asia Pacific) Limited |
U.S.$1,000,000,000 Retail Securities Programme |
Series No. 2 - Three Cheers Capital Guaranteed Securities |
3/9/2004
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Retail Securities Programme |
Series No. 66 – iPAL “Monthly Laisee III” HKD Equity-Linked Securities |
5/6/2008
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Retail Securities Programme |
Series No. 65 – iPAL “Monthly Laisee II” HKD Equity-Linked Securities |
18/4/2008
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Retail Securities Programme |
Series No. 58 and 59 – iPAL “Pick and Win III” Equity-Linked Securities |
2/11/2007
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Retail Securities Programme |
Series No. 55 and 56 – iPAL “Pick and Win II” Equity-Linked Securities |
14/9/2007
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Retail Securities Programme |
Series No. 54 – iPAL “Pick and Win” HKD Equity-Linked Securities |
20/7/2007
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Retail Securities Programme |
Series No. 49 – iPAL “Superstar” HKD Equity-Linked Securities |
21/8/2006
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Structured Notes Programme |
Series No. 6-7 – iPAL “Financial World” Credit-Linked Fixed Rate Notes |
26/6/2006
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Retail Securities Programme |
Series No. 47 – iPAL “Bullet Train” USD Capital Guaranteed Securities |
23/6/2006
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Structured Notes Programme |
Series No. 5 – iPAL “Golden Dragon” USD Index-Linked Capital Guaranteed Notes |
18/4/2006
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Structured Notes Programme |
Series No. 4 – iPAL “Double Chance” USD Equity-Linked Auto-Callable Notes |
10/4/2006
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Structured Notes Programme |
Series No. 3 – iPAL “Stratosphere” USD Equity-Linked Capital Guaranteed Notes |
27/2/2006
|
Documents
|
Credit Suisse Investment Products (Asia Pacific) Limited |
US$1,000,000,000 Structured Notes Programme |
Series No. 1 and 2 – iPAL “Economic Dynamo” Credit-Linked Fixed Rate Notes |
24/2/2006
|
Documents
|
Emperor Capital Group Limited |
|
Open offer of bonds on the basis of one unit of bond having a face value of HK$700 each for every 6,000 existing shares held on the record date |
7/11/2013
|
Documents
|
Fortis Bank NV-SA, acting through its Hong Kong branch |
US$3,000,000,000 Euro Medium Term Note Programme |
Series 16 – Floating Rate Equity-Linked Notes |
12/7/2005
|
Documents
|
Fortis Bank NV-SA, acting through its Hong Kong branch |
US$3,000,000,000 Euro Medium Term Note Programme |
Series 15 - Equity-Linked Notes |
3/5/2005
|
Documents
|
Fortis Bank NV-SA, acting through its Hong Kong branch |
US$3,000,000,000 Euro Medium Term Note Programme |
Series 4 – Equity-Linked Notes |
8/3/2005
|
Documents
|
Fortis Bank NV-SA, acting through its Hong Kong branch |
US$3,000,000,000 Euro Medium Term Note Programme |
Series 2 – Equity-Linked Notes |
3/1/2005
|
Documents
|
Fortis Bank NV-SA, acting through its Hong Kong branch |
US$3,000,000,000 Euro Medium Term Note Programme |
Series 1 – USD Interest Rate-Linked Structured Range Accrual Notes due 2009 |
15/11/2004
|
Documents
|
Fubon Bank (Hong Kong) Limited |
|
Open Offer of 1,172,160,000 preference shares at US$0.10237 per preference share payable in full on acceptance |
2/12/2008
|
Documents
|
Grand Dragon Limited |
HK$15,000,000,000 Retail Secured Note Programme |
Series 2 - Fixed Rate Callable Credit-Linked Notes |
10/2/2006
|
Documents
|
Grand Dragon Limited |
|
US$50,000,000 Secured Callable Principal Protected Notes due 2014 |
12/6/2004
|
Documents
|
Grand Dragon Limited |
|
US$50,000,000 Secured Callable Principal Protected Notes due 2014 |
3/6/2004
|
Documents
|
Hang Seng Structured Products (Cayman) Limited |
US$5,000,000,000 Structured Note Issuance Programme |
Series No. 2 - Hong Kong Dollar Equity Linked Notes due 2007 |
20/10/2005
|
Documents
|
Hang Seng Structured Products (Cayman) Limited |
US$5,000,000,000 Structured Note Issuance Programme |
Series No. 1 - Hong Kong Dollar Equity Linked Notes due 2007 |
2/6/2005
|
Documents
|
Hera Securities Ltd. |
Retail Note Programme |
Series 4 - Abacus Equity-Linked Notes |
14/11/2005
|
Documents
|
Hera Securities Ltd. |
Retail Note Programme |
Series 3 - Abacus Global Brands Equity-Linked Notes for All Weather |
12/5/2005
|
Documents
|
Hera Securities Ltd. |
Retail Note Programme |
Series 3 - Abacus Global Brands Equity-Linked Notes for All Weather |
9/5/2005
|
Documents
|
Hera Securities Ltd. |
Retail Note Programme |
Series 2 - Abacus Hong Kong Out-Performer Principal-Protected Notes |
21/2/2005
|
Documents
|
Hera Securities Ltd. |
Retail Note Programme |
Series 1 - Abacus Equity Credit-Linked Notes |
1/11/2004
|
Documents
|
HSBC Bank (China) Company Limited |
|
RMB 2.60% Bonds due 2011 |
14/8/2009
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
|
11/8/2008
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
|
25/4/2008
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
|
6/8/2007
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
|
27/4/2007
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
|
11/10/2006
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
Structured Notes - Basket Equity Linked 10
USD denominated Notes (Series No.14) |
7/7/2005
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
Structured Notes - Basket Equity Linked 9
USD denominated Notes (Series No.13) |
20/5/2005
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
USD Callable Basket Credit Linked Notes (Series No.12) |
8/4/2005
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
USD denominated Basket Equity Linked Notes (Series No.11) |
14/2/2005
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
Structured Notes - Basket Equity Linked 8
USD denominated Notes (Series No.10) |
8/2/2005
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
Structured Notes - Basket Equity Linked 7
USD denominated Notes (Series No.9) |
18/1/2005
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
Structured Notes - Basket Equity Linked 6
USD denominated Notes (Series No.8) |
31/12/2004
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
Structured Notes - Basket Equity Linked 5
USD denominated Notes (Series No.7) |
7/12/2004
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
Structured Notes - Basket Equity Linked 4
USD denominated Notes (Series No.6a)
HKD denominated Notes (Series No.6b) |
15/11/2004
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
Structured Notes - Basket Equity Linked 3
USD denominated Notes (Series No.5) |
15/10/2004
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
USD Callable Floored Inverse-Floater Credit Linked Notes (Series No.4) |
14/9/2004
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
Structured Notes - Basket Equity Linked 2
USD denominated Notes (Series No.3) |
10/9/2004
|
Documents
|
HSBC Structured Notes (Cayman) Limited |
US$5,000,000,000 Retail Note Issuance Programme |
Structured Notes - Basket Equity Linked 1
USD denominated Notes (Series No.2) |
3/8/2004
|
Documents
|
ING Bank N.V. |
Retail Note Issuance Programme |
ING "Bull's-Eye" Equity Linked Notes |
27/1/2006
|
Documents
|
ING Bank N.V. |
Retail Note Programme |
ING Lion Equity Linked Notes Series No. 2 |
18/4/2005
|
Documents
|
ING Bank N.V. |
Retail Note Programme |
ING Lion Equity Linked Notes Series No. 1 |
14/1/2005
|
Documents
|
Investor Solutions Limited |
|
Efficient Asset Allocation Notes due 2009 Linked to S&P 500 Index, WTI Crude Oil Futures Contract and Fixed Rate of Return Series 1 and Series 2 |
30/9/2004
|
Documents
|
IXIS Financial Instruments Ltd. |
U.S.$5,000,000,000 Triomphe Retail Structured Notes Programme |
Series 3a Notes - Hong Kong Dollar Two Year "Coutinuity" Equity Linked Notes
Series 3b Notes - Australian Dollar Two Year "Continuity" Equity Linked Notes |
17/2/2006
|
Documents
|
IXIS Financial Instruments Ltd. |
U.S.$5,000,000,000 Triomphe Retail Structured Notes Programme |
Series 1 Notes - Hong Kong Dollar Two Year "Pleasance" Equity Linked Notes
Series 2 Notes - Australian Dollar Two Year "Pleasance" Equity Linked Notes |
18/11/2005
|
Documents
|
KBC Financial Products International Ltd. |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes Series - 4 and 5
2 Year Equity Bull Notes |
10/3/2005
|
Documents
|
KBC Financial Products International Ltd. |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes Series - 3
2 Year Equity Bull Notes |
6/1/2005
|
Documents
|
KBC Financial Products International Ltd. |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes Series - 2
2 Year Equity Bull Notes |
25/11/2004
|
Documents
|
KBC Financial Products International Ltd. |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes Series - 1
2 Year Equity Bull Notes |
11/11/2004
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes - XIII Series 51 and 52
1 Year Equity Bull Notes |
17/3/2008
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes - XII Series 49 and 50
1 Year Equity Bull Notes |
21/2/2008
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes - XI Series 47 and 48
1 Year Equity Bull Notes |
20/12/2007
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes - X Series 45 and 46
1 Year Equity Bull Notes |
22/11/2007
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes - IX Series 43 and 44
1 Year Equity Bull Notes |
13/9/2007
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes - VIII Series 41 and 42
1 Year Equity Bull Notes |
19/7/2007
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Dragon Balls A-Share Notes - II Series 40
HKD 1 Year Quarterly Callable Bull Notes |
31/5/2007
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes - VII Series 38 and 39
1 Year Equity Bull Notes |
25/5/2007
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes - VI Series 36 and 37
1 Year Equity Bull Notes |
30/3/2007
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Amaryllis Notes - V
KBC Amaryllis Notes - V Series 34 and 35
1 Year Equity Bull Notes |
9/3/2007
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Dragon Balls A-Share Notes - Series 33
HKD 1 Year Quarterly Callable Bull Notes |
3/1/2007
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes-IV Series 31 and 32
1 Year Equity Bull Notes |
23/11/2006
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes-III Series 29 and 30
1 Year Equity Bull Notes |
18/9/2006
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes-II Series 27 and 28
1 Year Equity Bull Notes |
10/7/2006
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Amaryllis Notes Series 25 and 26
1 Year Equity Bull Notes |
18/5/2006
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Windmill Notes Series 21-24
1 Year Equity Bull Notes |
9/3/2006
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Fortune & Prosperity Notes Series 17-20
2 Year Equity Bull Notes |
29/12/2005
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Superstar Notes Series 15 and 16
1 Year Equity Bull Notes |
7/10/2005
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Blue Diamond Notes Series 11-12 2 Year Equity Bull Notes and KBC Red Diamond Notes Series 13-14 2 Year Equity Bull Notes |
15/8/2005
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes
KBC Gold Treasures Notes Series 7-8 2 Year Equity Bull Notes and KBC Silver Treasures Notes Series 9-10 2 Year Equity Bull Notes |
7/7/2005
|
Documents
|
KBC Investments Cayman Islands Limited |
U.S.$2,000,000,000 Euro Medium Term Note Programme |
KBC Dragon High Yield Notes Series - 6
KBC Jewel 138 Note 2 Year Equity Bull Notes |
5/5/2005
|
Documents
|
Macquarie Structured Products Asia Limited |
US$1,000,000,000 (or equivalent in other currencies) Retail Structured Note Programme |
Macquarie Hong Kong and China Capital Guaranteed Notes |
25/10/2004
|
Documents
|
Mandarin Oriental International Limited |
|
1 for 4 Rights Issue of up to 250,930,919 New Ordinary Shares at US$1.26 per New Ordinary Share |
12/3/2015
|
Documents
|
Morgan Stanley B.V. |
US$3,000,000,000 Retail Note Issuance Programme |
Series 1
Twin-Win Autocall Notes |
24/6/2008
|
Documents
|
Nouvo Cayman Limited |
JPY500,000,000,000 Retail Secured Note Programme |
Nouvo Series 4 and 5
US Dollar Principal Protected Commodity Linked Auto-Callable Notes |
5/7/2006
|
Documents
|
Nouvo Cayman Limited |
Retail Secured Note Programme |
Nouvo Series 3
US Dollar Fund Linked Notes |
14/6/2005
|
Documents
|
Nouvo Cayman Limited |
Retail Secured Note Programme |
Nouvo Series 2
Callable First-To-Default Credit-Linked Notes |
15/2/2005
|
Documents
|
Nouvo Cayman Limited |
Retail Secured Note Programme |
Nouvo Series 1
Callable Credit-Linked Notes |
8/9/2004
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 36
Fixed Rate Callable Credit-Linked Notes |
11/4/2008
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 35
Fixed Rate Callable Credit-Linked Notes |
15/1/2008
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 34
Fixed Rate Callable Credit-Linked Notes |
16/11/2007
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 33
Fixed Rate Callable Credit-Linked Notes |
20/7/2007
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 32
Fixed Rate Callable Credit-Linked Notes |
1/6/2007
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 31
Fixed Rate Callable Credit-Linked Notes |
9/3/2007
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 30
Fixed Rate Callable Credit-Linked Notes |
29/12/2006
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 29
Fixed Rate Callable Credit-Linked Notes |
16/11/2006
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 29
Fixed Rate Callable Credit-Linked Notes |
10/11/2006
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 28
Fixed Rate Callable Credit-Linked Notes |
15/9/2006
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 27
Fixed Rate Callable Credit-Linked Notes |
4/8/2006
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 26
Fixed Rate Callable Credit-Linked Notes |
16/5/2006
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 25
Fixed Rate Callable Credit-Linked Notes and Inverse Floating Rate Callable Credit-Linked Notes |
17/3/2006
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 23
Fixed Rate Callable Credit-Linked Notes and Inverse Floating Rate Callable Credit-Linked Notes |
30/12/2005
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 22
Fixed Rate Callable Credit-Linked Notes |
19/10/2005
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 21
Fixed Rate Callable Credit-Linked Notes |
29/8/2005
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 21
Fixed Rate Callable Credit-Linked Notes |
16/8/2005
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 20
Fixed Rate Callable Credit-Linked Notes and Floating Rate Callable Credit-Linked Notes |
17/6/2005
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 19
Callable Credit-Linked Notes |
22/4/2005
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 18
Callable Credit-Linked Notes |
4/3/2005
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 17
Callable Credit-Linked Notes |
31/1/2005
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 16
Callable Credit-Linked Notes |
31/12/2004
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 15
Callable Credit-Linked Notes |
26/11/2004
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 12
Callable Credit-Linked Notes |
9/8/2004
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 11
Callable Credit-Linked Inverse Floating Rate Notes and Callable Credit-Linked Fixed Rate Notes |
8/6/2004
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 10
Callable Credit-Linked Notes |
3/5/2004
|
Documents
|
Pacific International Finance Limited |
Secured Continuously Offered Note Programme |
Minibond Series 9
Callable Credit-Linked Notes |
5/3/2004
|
Documents
|
Pacific International Finance Limited |
|
Minibond Series 8
Callable Credit-Linked Notes
Equity-Linked to the Tracker Fund of Hong Kong |
13/2/2004
|
Documents
|
Pacific International Finance Limited |
|
Minibond Series 7
Callable Credit-Linked Notes |
14/11/2003
|
Documents
|
Pacific International Finance Limited |
|
Minibond Series 6
Principal Protected Minibonds With Credit-Linked Coupon |
3/9/2003
|
Documents
|
Pacific International Finance Limited |
|
Minibond Series 5
3.8% Notes Credit-Linked to Hutchison Whampoa Limited |
16/6/2003
|
Documents
|
Palladium Securities 1 S.A. |
Retail Limited Recourse Structrued Note Programme |
Palladium Securities Notes - Series 10/Series 11 |
21/8/2008
|
Documents
|
Palladium Securities 1 S.A. |
Retail Limited Recourse Structrued Note Programme |
Palladium Securities Notes - Series 8/Series 9 |
29/2/2008
|
Documents
|
Palladium Securities 1 S.A. |
Retail Limited Recourse Structrued Note Programme |
Palladium Securities Notes - Series 6/Series 7 |
11/1/2008
|
Documents
|
Palladium Securities 1 S.A. |
Retail Limited Recourse Structrued Note Programme |
Palladium Securities Notes - Series 4/Series 5 |
9/11/2007
|
Documents
|
Palladium Securities 1 S.A. |
Retail Limited Recourse Structrued Note Programme |
Palladium Securities Notes - Series 2/Series 3 |
30/8/2007
|
Documents
|
Palladium Securities 1 S.A. |
Retail Limited Recourse Structrued Note Programme |
Palladium Securities HK Series 1 |
7/6/2007
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
|
25/7/2007
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 21 |
23/4/2007
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 20 |
19/1/2007
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 19 |
1/12/2006
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 18 |
10/11/2006
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 17 |
29/8/2006
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 16 |
31/3/2006
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 15 |
2/9/2005
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 14 |
29/7/2005
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 13 |
6/7/2005
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 12 |
13/4/2005
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 11 |
7/1/2005
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 10 |
22/11/2004
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 9 |
4/10/2004
|
Documents
|
Pyxis Finance Limited |
US$5,000,000,000 Retail Secured Note Programme |
Pyxis Equity-Linked Notes Series 8 |
14/7/2004
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 37 |
10/9/2008
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG Booster Notes - Series 1 |
30/6/2008
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 36 |
25/4/2008
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 34 & Series 35 |
30/1/2008
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 32 & Series 33 |
4/12/2007
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 30 & Series 31 |
22/10/2007
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 28 & Series 29 |
13/8/2007
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 27 |
8/6/2007
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 25 & Series 26 |
19/4/2007
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 23 & Series 24 |
26/2/2007
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 23 & Series 24 |
13/2/2007
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes Series 21 & Series 22 |
28/12/2006
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes Series 19 & Series 20 |
8/11/2006
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG COMMODITY INCOME PLUS Notes - Series 1 & Series 2 |
9/10/2006
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 17 & Series 18 |
8/9/2006
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 15 & Series 16 |
24/7/2006
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG Booster Notes - Series 1 |
30/6/2006
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 13 & Series 14 |
14/6/2006
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 11 & Series 12 |
18/4/2006
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes Series 9 & Series 10 |
24/1/2006
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
SG EXCEL Notes - Series 8 |
18/11/2005
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
Series 6 & Series 7
9 Months "Best of" Daily Accrual Notes
HKD Equity-Linked Notes |
4/10/2005
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
Series 5 SG888 Equity-Linked Note |
2/6/2005
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
Series 5 SG888 Equity-Linked Note |
24/5/2005
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
Series 4 Stock Duo Notes 1 |
25/2/2005
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
Series 3 Non Capital Guaranteed Equity Linked Notes 2 |
3/12/2004
|
Documents
|
SGA Societe Generale Acceptance N.V. |
US$2,000,000,000 Retail Note Issuance Programme |
Series 2 Non Capital Guaranteed Equity Linked Notes |
15/10/2004
|
Documents
|
SPARC Limited |
Secured Note Programme |
Retail-Aimed Callable Investment Notes Global Series 1a, 1b, 2a and 2b First-to-Default Callable Credit-Linked Notes |
20/4/2007
|
Documents
|
The American Club |
|
Unsecured Full Debentures |
23/1/2006
|
Documents
|
The Bank of East Asia (China) Limited |
|
Renminbi 2.80% Bonds due 2011 |
26/6/2009
|
Documents
|
The Export-Import Bank of China |
|
RMB 2.65 per cent. Bonds due 2013 |
5/11/2010
|
Documents
|
The Hong Kong Mortgage Corporation Limited |
HK$20,000,000,000 Retail Bond Issuance Programme |
Retail Bond Issue |
2/6/2008
|
Documents
|
The Hong Kong Mortgage Corporation Limited |
HK$20,000,000,000 Retail Bond Issuance Programme |
Retail Bond Issue |
2/3/2007
|
Documents
|
The Hong Kong Mortgage Corporation Limited |
HK$20,000,000,000 Retail Bond Issuance Programme |
Retail Bond Issue |
31/8/2006
|
Documents
|
The Hong Kong Mortgage Corporation Limited |
HK$20,000,000,000 Retail Bond Issuance Programme |
Retail Bond Issue |
15/7/2005
|
Documents
|
Thomson Reuters PLC |
|
Proposed Acquisition of Reuters Group PLC by The Thomson Corporation by means of a scheme of arrangement of Reuters Group PLC under section 425 of the Companies Act 1985 |
29/2/2008
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
|
4/9/2007
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
|
14/5/2007
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
|
25/4/2007
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
SUPER Notes Series No. 16
Equity-Linked Notes |
7/6/2006
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
SUPER Notes Series No. 16
Equity-Linked Notes |
12/5/2006
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
|
21/4/2006
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
SUPER Notes Series No. 15a and 15b Equity-Linked Notes |
15/8/2005
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
SUPER Notes Series No. 12A
US Dollar Index-Linked Notes |
12/8/2005
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
SUPER Notes Series No. 12
US Dollar Index-Linked Notes |
22/7/2005
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
SUPER Notes Series No. 11a and 11b Equity-Linked Notes |
15/7/2005
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
SUPER Notes Series No. 10a and 10b Equity-Linked Notes |
13/5/2005
|
Documents
|
UBS AG |
Retail Note Issuance Programme |
SUPER Notes Series No. 9a and 9b Equity-Linked Notes |
18/3/2005
|
Documents
|
UBS AG |
Retail Note Programme |
SUPER Notes Series No. 8 Equity-Linked Notes |
7/1/2005
|
Documents
|
UBS AG |
Retail Note Programme |
SUPER Notes Series No. 7 Equity-Linked Note |
8/10/2004
|
Documents
|
UBS AG |
Retail Note Programme |
Long-Short SUPER Notes Series No. 6
Equity-Linked Notes |
14/9/2004
|
Documents
|
UBS AG |
Retail Note Programme |
SUPER Notes Series No. 5a and 5b Equity-Linked Notes |
21/6/2004
|
Documents
|
UBS AG |
US$25,000,000,000 Retail Note Programme |
SUPER Notes Series No. 3a and 3b Equity-Linked Notes |
7/1/2004
|
Documents
|
UBS AG |
US$25,000,000,000 Retail Note Programme |
SUPER Notes Series No. 2a and 2b Equity-Linked Notes |
10/10/2003
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 21 RMB-Linked Credit-Linked Secured Callable Step-up Fixed Rate Notes
Octave Notes Series 22 RMB-Linked Credit-Linked Secured Callable Fixed Rate Notes |
14/9/2007
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 19 and 20
Credit-Linked Secured Callable Step-up Fixed Rate Notes |
25/6/2007
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 17 and 18
Credit-Linked Secured Callable Step-up Fixed Rate Notes |
15/2/2007
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 15
Credit-Linked Secured Callable Fixed Rate Notes and
Octave Notes Series 16
Credit-Linked Secured Callable Step-up Fixed Rate Notes |
30/11/2006
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 11
Credit-Linked Secured Callable Fixed Rate Notes and
Octave Notes Series 12
Credit-Linked Secured Callable Step-up Fixed Rate Notes |
10/10/2006
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 10
Credit-Linked Secured Callable Step-up Fixed Rate Notes |
28/8/2006
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 9
Credit-Linked Secured Callable Step-up Fixed Rate Notes |
5/6/2006
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 8
Credit-Linked Secured Callable Step-up Fixed Rate Notes and Credit-Linked Secured Callable Indexed-Linked Variable Rate Notes |
21/11/2005
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 7
Credit-Linked Secured Callable Step-up Fixed Rate Notes and Credit-Linked Secured Callable Variable Rate Notes |
12/9/2005
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 6
Credit-Linked Secured Callable Step-up Fixed Rate Notes and Credit-Linked Secured Callable Fixed Rate with Equity Bonus Coupon Notes |
12/7/2005
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 5
Credit-Linked Secured Callable Fixed Rate Notes and Credit-Linked Secured Callable Range Accrual Notes |
17/5/2005
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 3
Credit-Linked Secured Callable Fixed Rate Notes and Credit-Linked Secured Callable Variable Rate Notes |
29/3/2005
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 2
Credit-Linked Secured Fixed Rate Notes |
16/11/2004
|
Documents
|
Victoria Peak International Finance Limited |
US$5,000,000,000 Retail Note Programme |
Octave Notes Series 1
Callable Credit-Linked Fixed Rate Notes and Callable Credit-Linked Range Accrual Notes |
1/9/2004
|
Documents
|