ISIN
|
Issue type
|
Issue date
|
Maturity date
|
Amount
|
Documents
|
XS3099010020
|
2.875 per cent Fixed Rate Instruments
|
18 June 2025
|
18 June 2030
|
EUR 500,000,000
|
291 Final Terms
|
XS3091992787
|
Floating Rate Instruments
|
13 June 2025
|
13 June 2028
|
SEK 500,000,000
|
290 Final Terms
|
XS3091284789
|
Floating Rate Instruments
|
10 June 2025
|
10 June 2030
|
SEK 1,000,000,000
|
289 Final Terms
|
XS3010786682
|
2.90 per cent Fixed Rate Instruments
|
30 May 2025
|
30 May 2030
|
EUR 25,000,000
|
288 Final Terms
|
XS3076283681
|
2.3345 per cent Fixed Rate Instruments
|
20 May 2025
|
20 May 2027
|
EUR 30,000,000
|
287 Final Terms
|
XS3002812066
|
Floating Rate Instruments
|
19 June 2025
|
19 May 2027
|
EUR 85,000,000
|
286 Tranche 7 Final Terms
|
XS3002812066
|
Floating Rate Instruments
|
18 June 2025
|
19 May 2027
|
EUR 100,000,000
|
286 Tranche 6 Final Terms
|
XS3002812066
|
Floating Rate Instruments
|
05 June 2025
|
19 May 2027
|
EUR 65,000,000
|
286 Tranche 5 Final Terms
|
XS3002812066
|
Floating Rate Instruments
|
06 June 2025
|
19 May 2027
|
EUR 100,000,000
|
286 Tranche 4 Final Terms
|
XS3002812066
|
Floating Rate Instruments
|
30 May 2025
|
19 May 2027
|
EUR 100,000,000
|
286 Tranche 3 Final Terms
|
XS3002812066
|
Floating Rate Instruments
|
23 May 2025
|
19 May 2027
|
EUR 300,000,000
|
286 Tranche 2 Final Terms
|
XS3002812066
|
Floating Rate Instruments
|
19 May 2025
|
19 May 2027
|
EUR 500,000,000
|
286 Final Terms
|
XS2988555426
|
3.625 per cent dated Tier 2 instruments (TIER 2)
|
28 January 2025
|
28 January 2035
|
EUR 500,000,000
|
285 Final Terms
|
XS2948448563
|
2.875 per cent. Restricted Senior Preferred Instruments
|
27 November 2024
|
27 November 2029
|
EUR 500,000,000
|
284 Final Terms
|
XS2794477518
|
Floating Rate Instruments (Green Bond)
|
28 March 2024
|
28 March 2027
|
EUR 500,000,000
|
283 Final Terms
|
XS2722262966
|
Floating Rate Instruments
|
1 December 2023
|
21 November 2025
|
EUR 250,000,000
|
282 Tranche 2 Final Terms
|
XS2722262966
|
Floating Rate Instruments
|
21 November 2023
|
21 November 2025
|
EUR 500,000,000
|
282 Final Terms
|
XS2721082340
|
Floating Rate Instruments
|
20 November 2023
|
20 February 2029
|
EUR 75,000,000
|
281 Final Terms
|
XS2635622595
|
4.000 per cent. Senior Preferred Instruments
|
13 June 2023
|
13 June 2028
|
EUR 650,000,000
|
280 Final Terms
|
XS2627100501
|
Floating Rate Instruments
|
23 May 2023
|
23 May 2030
|
EUR 25,000,000
|
279 Final Terms
|
XS2562985205
|
4.40 per cent. Senior Preferred Instruments.
|
7 December 2022
|
7 December 2029
|
NOK 1,200,000,000
|
278 Final Terms
|
XS2557081473
|
Floating Rate Instruments
|
18 November 2022
|
The Interest Payment Date falling on or nearest to 18 November 2025
|
GBP 50,000,000
|
277 Final Terms
|
XS2556936115
|
4.1475 per cent. Senior Preferred Instruments.
|
23 November 2022
|
23 November 2032
|
EUR 50,000,000
|
276 Final Terms
|
XS2556152622
|
0.70 per cent. Senior Preferred Instruments
|
17 November 2022
|
17 November 2025
|
JPY 10,000,000,000
|
275 Final Terms
|
XS2554907613
|
5.01 per cent. Senior Preferred Instruments
|
14 November 2022
|
11 November 2032
|
NOK 300,000,000
|
274 Tranche 2 Amended and Restated Final Terms
|
XS2554907613
|
5.01 per cent. Senior Preferred Instruments
|
11 November 2022
|
11 November 2032
|
NOK 550,000,000
|
274 Final Terms
|
XS2554866249
|
Floating Rate Instruments
|
16 November 2022
|
16 February 2026
|
SEK 500,000,000
|
273 Final Terms
|
XS2549803588
|
4.454 per cent. Senior Preferred Instruments
|
25 October 2022
|
23 October 2026
|
SEK 700,000,000
|
272 Final Terms
|
XS2546781555
|
4.125 per cent. Senior Preferred Instruments
|
18 October 2022
|
18 April 2027
|
EUR 500,000,000
|
271 Final Terms
|
XS2530506752
|
2.875 per cent Senior Preferred Instruments
|
15 September 2022
|
15 December 2025
|
EUR 1,250,000,000
|
270 Final Terms
|
XS2523320229
|
Floating Rate Instruments
|
23 August 2022
|
23 December 2025
|
SEK 1,000,000,000
|
269 Final Terms
|
XS2522673107
|
Floating Rate Instruments
|
19 August 2022
|
19 August 2027
|
SEK 750,000,000
|
268 Final Terms
|
XS2489652581
|
3.375 per cent Senior Preferred Instruments
|
14 June 2022
|
14 January 2026
|
GBP 350,000,000
|
267 Final Terms
|
XS2485362094
|
Floating Rate Instruments
|
25 May 2022
|
25 May 2029
|
AUD 65,000,000
|
266 Final Terms
|
XS2485147958
|
1.873 per cent Senior Preferred Instruments
|
25 May 2022
|
25 May 2027
|
EUR 35,000,000
|
265 Final Terms
|
XS2484101246
|
3.755 per cent Senior Preferred Instruments
|
11 November 2022
|
25 May 2029
|
NOK 500,000,000
|
264 Tranche 2 Final Terms
|
XS2484101246
|
3.755 per cent Senior Preferred Instruments
|
25 May 2022
|
25 May 2029
|
NOK 400,000,000
|
264 Final Terms
|
XS2481275381
|
Floating
Rate Instruments
|
16 June 2022
|
17 May 2024
|
EUR 200,000,000
|
263 Tranche 4 Final Terms
|
XS2481275381
|
Floating Rate Instruments
|
6 June 2022
|
17 May 2024
|
EUR 100,000,000
|
263 Tranche 3 Final Terms
|
XS2481275381
|
Floating
Rate Instruments
|
17 May 2022
|
17 May 2024
|
EUR 200,000,000
|
263 Tranche 2 Final Terms
|
XS2481275381
|
Floating Rate Instruments
|
17 May 2022
|
17 May 2024
|
EUR 300,000,000
|
263 Final Terms
|
XS2436853035
|
0.625 per cent. Green Senior Non-Preferred Instruments (SNP)
|
27 January 2022
|
27 July 2027
|
EUR 500,000,000
|
262 Final Terms
|
XS2393539080
|
1.375 per cent. Senior Non-Preferred Instruments (SNP)
|
5 October 2021
|
4 September 2026
|
GBP 400,000,000
|
261 Final Terms
|
XS2384473992
|
0.375 per cent. Senior Non-Preferred Instruments (SNP)
|
8 September 2021
|
8 December 2028
|
EUR 500,000,000
|
260 Final Terms
|
XS2354246816
|
0.375 per cent. Senior Non-Preferred Instruments (SNP)
|
16 June 2021
|
16 June 2028
|
EUR 500,000,000
|
259 Final Terms
|
XS2287753987
|
Floating Rate Instruments
|
25 May 2021
|
18 January 2024
|
EUR 50,000,000
|
256 Tranche 5 Final Terms
|
XS2322253944
|
0.750 per cent. Senior Non-Preferred Instruments (SNP)
|
24 March 2021
|
24 March 2031
|
EUR 300,000,000
|
258 Final Terms
|
XS2320747285
|
0.250 per cent. Senior Non-Preferred Instruments (SNP)
|
24 March 2021
|
24 March 2026
|
EUR 500,000,000
|
257 Final Terms
|
XS2287753987
|
Floating Rate Instruments
|
3 February 2021
|
18 January 2024
|
EUR 50,000,000
|
256 Tranche 4 Final Terms
|
XS2287753987
|
Floating Rate Instruments
|
2 February 2021
|
18 January 2024
|
EUR 50,000,000
|
256 Tranche 3 Final Terms
|
XS2287753987
|
Floating Rate Instruments
|
26 January 2021
|
18 January 2024
|
EUR 100,000,000
|
256 Tranche 2 Final Terms
|
XS2287753987
|
Floating Rate Instruments
|
18 January 2021
|
18 January 2024
|
EUR 250,000,000
|
256 Final Terms
|
XS2258389415
|
0.100 per cent. Instruments
|
16 November 2020
|
16 November 2027
|
EUR 1,000,000,000
|
255 Final Terms
|
XS2197342129
|
0.125 per cent. Unsubordinated Instruments
|
1 July 2020
|
1 July 2024
|
EUR 1,000,000,000
|
252 Final Terms
|
XS2185963712
|
0.139 per cent. Fixed Rate
|
10 June 2020
|
10 June 2022
|
EUR 25,000,000
|
251 Final Terms
|
XS2185867673
|
1.625 per cent. Resettable Callable Tier 2 Instruments (TIER 2)
|
9 June 2020
|
9 June 2030
|
EUR 1,000,000,000
|
250 Final Terms
Call Option Notice – 24 April 2025
|
XS2182997689
|
Floating Rate Instruments
|
11 June 2020
|
11 June 2022
|
EUR 55,000,000
|
249 Final Terms
|
XS2182066543
|
Callable Floating Rate Tier 2 Instruments (TIER 2)
|
3 June 2020
|
Interest Payment Date falling in or nearest to June 2030
|
SEK 3,250,000,000
|
248 Final Terms
Call Option Notice – 24 April 2025
|
XS2176660152
|
Floating Rate Instruments
|
18 May 2020
|
18 May 2022
|
EUR 35,000,000
|
247 Final Terms
|
XS2171253912
|
0.500 per cent. Unsubordinated Instruments
|
12 May 2020
|
12 August 2025
|
EUR 1,000,000,000
|
246 Final Terms
|
XS2102924383
|
0.600 per cent. Senior Non-Preferred Instruments (SNP)
|
16 January 2020
|
18 January 2027
|
EUR 500,000,000
|
245 Final Terms
|
XS2081246410
|
0.53 per cent. Fixed Rate Instruments
|
19 November 2019
|
15 November 2029
|
EUR 10,000,000
|
244 Final Terms
|
XS2078667925
|
0.625 per cent. Senior Non-Preferred Instruments
(SNP)
|
12 November 2019
|
12 November 2029
|
EUR 500,000,000
|
242 Final Terms
|
XS2027592547
|
Fixed Rate Senior Non-Preferred Instruments
(SNP)
|
17 July 2019
|
17 July 2029
|
USD 50,000,000
|
241 Pricing Supplement
|
XS2020698192
|
0.25 per cent. Instruments
|
1 July 2019
|
1 July 2026
|
EUR 50,000,000
|
238 Final Terms
|
XS2014288158
|
0.375 per cent. Senior Non-Preferred Instruments (SNP)
|
19 June 2019
|
19 June 2024
|
EUR 500,000,000
|
237 Final Terms
|
XS1956022716
|
0.375 per cent. Instruments (Green Bond)
|
26 February 2019
|
26 February 2024
|
EUR 500,000,000
|
230 Final Terms
|
XS1934816395
|
0.91 per cent. Fixed Rate Notes
|
14 January 2019
|
14 January 2026
|
EUR 20,000,000
|
226 Final Terms
|
XS1920026058
|
1.706 per cent. Unsubordinated Instruments
|
12 December 2018
|
12 December 2033
|
EUR 50,000,000
|
225 Final Terms
|
XS1890798264
|
0.55 per cent. Instruments
|
5 October 2018
|
5 October 2023
|
EUR 10,000,000
|
222 Final Terms
|
XS1871094931
|
0.375 per cent. Instruments
|
29 August 2018
|
29 August 2023
|
EUR 500,000,000
|
221 Final Terms
|
XS1869440971
|
0.55 per cent. Instruments
|
30 August 2018
|
30 August 2024
|
EUR 20,000,000
|
220 Final Terms
|
XS1840614579
|
0.725 per cent. Instruments
|
20 June 2018
|
20 June 2024
|
EUR 10,000,000
|
218 Final Terms
|
XS1838091723
|
Fixed Rate Notes
|
14 June 2018
|
14 June 2024
|
EUR 15,000,000
|
216 Final Terms
|
XS1823485039
|
Fixed Rate Instruments
|
22 May 2018
|
22 May 2025
|
EUR 500,000,000
|
213 Final Terms
|
XS1617512865
|
1.058 per cent. Fixed Rate Instruments
|
22 May 2017
|
18 May 2027
|
EUR 10,000,000
|
211 Final Terms
|
XS1365484259
|
1.097 per cent. fixed rate Instruments
|
16 February 2016
|
16 February 2024
|
EUR 20,000,000
|
209 Final Terms
|
XS1352072091
|
1.865 per cent. fixed rate Instruments
|
27 January 2016
|
27 January 2031
|
EUR 10,000,000
|
208 Final Terms
|
XS1323474251
|
2.155 per cent fixed rate instruments
|
20 November 2015
|
20 November 2035
|
EUR 30,000,000
|
202 Final Terms
|
XS1321408988
|
2.045 per cent fixed rate instruments
|
18 November 2015
|
18 November 2030
|
EUR 50,000,000
|
201 Final Terms
|
XS1296897579
|
2.405 per cent dated Tier 2 instruments (TIER 2)
|
25 September 2015
|
25 September 2025
|
EUR 100,000,000
|
197 Final Terms
|
XS1279557430
|
1.70 per cent notes
|
21 August 2015
|
21 August 2030
|
EUR 30,000,000
|
193 Final Terms
|
XS1255402288
|
Subordinated Floating Rate Instruments (TIER 2)
|
3 July 2015
|
Interest Payment Date falling on or nearest to 3 July 2025
|
JPY 10,000,000,000
|
192 Pricing Supplement
|
XS1231160380
|
1.07 per cent notes
|
12 May 2015
|
12 May 2025
|
EUR 57,000,000
|
188 Final Terms
|
XS1215986479
|
1.00 per cent notes
|
9 April 2015
|
8 October 2027
|
EUR 25,000,000
|
187 Final Terms
|
XS1203048795
|
1.40 per cent instruments
|
16 March 2015
|
16 March 2035
|
EUR 40,000,000
|
186 Final Terms
|
XS1069616206
|
3.80 per cent instruments
|
27 May 2014
|
27 May 2029
|
NOK 200,000,000
|
174 Final Terms
Consent Solicitation Launch Announcement – 2 March 2021
Consent Solicitation Extension Announcement – 12 March 2021
Results Announcement and Notice of Adjournment – 24 March 2021
Adjourned Meetings Results Announcement – 9 April 2021
Publication of Amended and Restated Final Terms – 9 April 2021
|
XS1054250748
|
Fixed rate notes
|
7 April 2014
|
11 April 2034
|
EUR 40,000,000
|
171 Final Terms
Consent Solicitation Launch Announcement – 2 March 2021
Consent Solicitation Extension Announcement – 12 March 2021
Results Announcement and Notice of Adjournment – 24 March 2021
Adjourned Meetings Results Announcement – 9 April 2021
Publication of Amended and Restated Final Terms – 9 April 2021
|
XS1050669537
|
Fixed rate notes
|
31 March 2014
|
31 March 2034
|
EUR 30,000,000
|
170 Final Terms
Consent Solicitation Launch Announcement – 2 March 2021
Consent Solicitation Extension Announcement – 12 March 2021
Results Announcement and Notice of Adjournment – 24 March 2021
Adjourned Meetings Results Announcement – 9 April 2021
Publication of Amended and Restated Final Terms – 9 April 2021
|
XS1048099367
|
Fixed Rate Instruments
|
21 March 2014
|
21 March 2034
|
EUR 30,000,000
|
169 Final Terms
Consent Solicitation Launch Announcement – 2 March 2021
Consent Solicitation Extension Announcement – 12 March 2021
Results Announcement and Notice of Adjournment – 24 March 2021
Adjourned Meetings Results Announcement – 9 April 2021
Publication of Amended and Restated Final Terms – 1 July 2021
|
XS0819129395
|
Fixed Rate Instruments
|
21 August 2012
|
23 August 2027
|
EUR 50,000,000
|
139 Final Terms
Consent Solicitation Launch Announcement – 2 March 2021
Consent Solicitation Extension Announcement – 12 March 2021
Results Announcement and Notice of Adjournment – 24 March 2021
Adjourned Meetings Results Announcement – 9 April 2021
Publication of Amended and Restated Final Terms – 1 July 2021
|