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News Réglementées
16/09/2026 09:00

Official List Notice

Financial Conduct Authority (-)
Official List Notice

16-Sep-2026 / 08:00 GMT/BST


NOTICE OF ADMISSION TO THE OFFICIAL LIST

16/09/2026, 08:00

The Financial Conduct Authority ("FCA") hereby admits the following securities to the Official List with effect from the time and date of this notice:-

 

Security Description

Listing Category

ISIN

Issuer Name: Credit Agricole Corporate and Investment Bank

 

                         

     

Preference Share Linked Notes due 11/09/2031; fully paid; (Represented by notes to bearer of GBP1,000 each and integral multiples of GBP1.00 in excess thereof up to and including GBP1,999)

Debt and debt-like securities

XS3441465351  

 

Issuer Name: CITIGROUP GLOBAL MARKETS FUNDING LUXEMBOURG S.C.A.

 

                         

     

Notes linked to Preference Shares of Citigroup Global Markets Funding Luxembourg S.C.A. CGMFL186288 due16/09/2036; fully paid; (Registered in denominations of GBP1.00 each)

Securitised derivatives

XS3230002126  

 

                         

     

Notes linked to Preference Shares of Citigroup Global Markets Funding Luxembourg S.C.A. CGMFL186286 due 16/09/2036; fully paid; (Registered in denominations of GBP1.00 each)

Securitised derivatives

XS3230002985  

 

                         

     

Memory Coupon Barrier Autocall Notes linked to the FTSE 100 Equally Weighted 45 Point Decrement Index due 16/09/2036; fully paid; (Registered in denominations of GBP1 each)

Securitised derivatives

XS3230007430  

 

                         

     

Notes linked to Preference Shares of Citigroup Global Markets Funding Luxembourg S.C.A. CGMFL186462 due 05/09/2031; fully paid; (Registered in denominations of GBP1.00 each)

Securitised derivatives

XS3229993053  

 

                         

     

Notes linked to Preference Shares of Citigroup Global Markets Funding Luxembourg S.C.A. CGMFL187644 due 12/09/2031; fully paid; (Registered in denominations of GBP1.00 each)

Securitised derivatives

XS3346722047  

 

                         

     

Notes linked to Preference Shares of Citigroup Global Markets Funding Luxembourg S.C.A. CGMFL186290 due 16/09/2036; fully paid; (Registered in denominations of GBP1.00 each)

Securitised derivatives

XS3230007786  

 

Issuer Name: MITSUBISHI HC CAPITAL UK PLC

 

                         

     

2.025% Notes due 17/03/2028; fully paid; (Represented by notes to bearer of JPY100,000,000 each)

Debt and debt-like securities

XS3504855035  

 

Issuer Name: Australia and New Zealand Banking Group Limited

 

                         

     

Floating Rate Notes due 20/09/2027; fully paid; (Represented by notes to bearer of GBP100,000 each)

Debt and debt-like securities

XS3507681909  

 

Issuer Name: The Toronto-Dominion Bank

 

                         

     

4.398% Senior Notes due 16/09/2038; fully paid; (Registered in denominations of EUR100,000 each and integral multiples of EUR1,000 in excess thereof)

Debt and debt-like securities

XS3507664566  

 

Issuer Name: THE BANK OF NOVA SCOTIA

 

                         

     

5.125% Covered Bonds due 15/12/2032; fully paid; (Registered in denominations of GBP100,000 each and integral multiples of GBP1,000 in excess thereof)

Debt and debt-like securities

XS3506172645  

 

                         

     

Floating Rate Covered Bonds due 15/03/2030; fully paid; (Registered in denominations of GBP100,000 each and integral multiples of GBP1,000 in excess thereof)

Debt and debt-like securities

XS3506171670  

 

Issuer Name: ROYAL BANK OF CANADA

 

                         

     

3.375% Covered Bonds due 15/09/2031; fully paid; (Registered in denominations of EUR100,000 each and integral multiples of EUR1,000 in excess thereof)

Debt and debt-like securities

XS3506171837  

 

                         

     

3.750% Covered Bonds due 15/09/2036; fully paid; (Registered in denominations of EUR100,000 each and integral multiples of EUR1,000 in excess thereof)

Debt and debt-like securities

XS3506171910  

 

Issuer Name: WisdomTree Hedged Metal Securities Limited

 

                         

     

WisdomTree Physical Silver - GBP Daily Hedged Individual Securities; fully paid

Debt and debt-like securities

JE00B84GRH50  

 

If you have any queries relating to the above, please contact Market Oversight at the FCA on 020 7066 8352.

 

Notes

SEDOL numbers which are allocated by the London Stock Exchange as a Stock Exchange identifier may be found on their dealing notice.

●Denotes the security is being admitted to trading on the London Stock Exchange, a Recognised Investment Exchange.

†Denotes the security is also being admitted to trading on Aquis Stock Exchange, a Recognised Investment Exchange.

Denotes the security is also being admitted to trading on Cboe Europe, a Recognised Investment Exchange.

^Denotes the security is also being admitted to trading on Shanghai-London Stock Connect, a Recognised Investment Exchange.

Notices issued by the FCA in respect of admission of securities to the Official List must be read in conjunction with notices issued by the relevant Recognised Investment Exchange in respect of admission of securities to trading on its markets.

 



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