Registration Date |
July 21, 2015 |
Date of Issue |
July 21, 2015 |
Series Designation |
CB22 |
Issue Currency |
EUR |
Nominal Amount |
279,500,000 |
ISIN |
XS1262406272 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
July 21, 2031 |
Extended Maturity Date (if Soft Bullet) |
July 21, 2032 |
Coupon Rate (%) |
1.652 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
December 15, 2015 |
Date of Issue |
December 15, 2015 |
Series Designation |
CB27 |
Issue Currency |
EUR |
Nominal Amount |
410,500,000 |
ISIN |
XS1331756442 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
December 15, 2034 |
Extended Maturity Date (if Soft Bullet) |
December 15, 2035 |
Coupon Rate (%) |
1.616 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
January 14, 2016 |
Date of Issue |
January 14, 2016 |
Series Designation |
CB28 |
Issue Currency |
EUR |
Nominal Amount |
100,000,000 |
ISIN |
XS1345321571 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
January 14, 2036 |
Extended Maturity Date (if Soft Bullet) |
January 14, 2037 |
Coupon Rate (%) |
1.625 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
September 7, 2018 |
Date of Issue |
September 7, 2018 |
Series Designation |
CB38 |
Issue Currency |
EUR |
Nominal Amount |
1,500,000,000 |
ISIN |
XS1876471183 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
September 10, 2025 |
Extended Maturity Date (if Soft Bullet) |
September 10, 2026 |
Coupon Rate (%) |
0.625 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
March 14, 2019 |
Date of Issue |
March 14, 2019 |
Series Designation |
CB41 |
Issue Currency |
EUR |
Nominal Amount |
100,000,000 |
ISIN |
XS1960477864 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
March 14, 2039 |
Extended Maturity Date (if Soft Bullet) |
March 14, 2040 |
Coupon Rate (%) |
1.384 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
June 19, 2019 |
Date of Issue |
June 19, 2019 |
Series Designation |
CB42 |
Issue Currency |
EUR |
Nominal Amount |
1,250,000,000 |
ISIN |
XS2014288315 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
June 19, 2026 |
Extended Maturity Date (if Soft Bullet) |
June 19, 2027 |
Coupon Rate (%) |
0.05 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
October 3, 2019 |
Date of Issue |
October 3, 2019 |
Series Designation |
CB45 |
Issue Currency |
GBP |
Nominal Amount |
1,000,000,000 |
ISIN |
XS2060621005 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
October 3, 2024 |
Extended Maturity Date (if Soft Bullet) |
October 3, 2025 |
Coupon Rate (%) |
SONIA + 58 bps |
Interest Payment Date(s)/Frequency |
Quarterly |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
December 30, 2019 |
Date of Issue |
December 30, 2019 |
Series Designation |
CB46 |
Issue Currency |
EUR |
Nominal Amount |
150,000,000 |
ISIN |
XS2096000216 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
December 30, 2039 |
Extended Maturity Date (if Soft Bullet) |
December 30, 2040 |
Coupon Rate (%) |
0.652 |
Interest Payment Date(s)/Frequency |
Annual |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
January 21, 2020 |
Date of Issue |
January 21, 2020 |
Series Designation |
CB47 |
Issue Currency |
EUR |
Nominal Amount |
1,500,000,000 |
ISIN |
XS2104915207 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
January 21, 2027 |
Extended Maturity Date (if Soft Bullet) |
January 21, 2028 |
Coupon Rate (%) |
0.01 |
Interest Payment Date(s)/Frequency |
Annual |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
January 24, 2020 |
Date of Issue |
January 24, 2020 |
Series Designation |
CB48 |
Issue Currency |
EUR |
Nominal Amount |
120,000,000 |
ISIN |
XS2107328291 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
January 24, 2040 |
Extended Maturity Date (if Soft Bullet) |
January 24, 2041 |
Coupon Rate (%) |
0.667 |
Interest Payment Date(s)/Frequency |
Annual |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
January 30, 2020 |
Date of Issue |
January 30, 2020 |
Series Designation |
CB49 |
Issue Currency |
GBP |
Nominal Amount |
1,250,000,000 |
ISIN |
XS2111228974 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
January 30, 2025 |
Extended Maturity Date (if Soft Bullet) |
January 30, 2026 |
Coupon Rate (%) |
Compounded Daily Sonia + 47 bps |
Interest Payment Date(s)/Frequency |
Quarterly |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
March 25, 2020 |
Date of Issue |
March 25, 2020 |
Series Designation |
CB50 |
Issue Currency |
EUR |
Nominal Amount |
1,000,000,000 |
ISIN |
XS2143036718 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
March 25, 2025 |
Extended Maturity Date (if Soft Bullet) |
March 25, 2026 |
Coupon Rate (%) |
0.125 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
April 6, 2020 |
Date of Issue |
April 6, 2020 |
Series Designation |
CB52 |
Issue Currency |
CHF |
Nominal Amount |
200,000,000 |
ISIN |
CH0535271206 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
April 6, 2027 |
Extended Maturity Date (if Soft Bullet) |
April 6, 2028 |
Coupon Rate (%) |
0.155 |
Interest Payment Date(s)/Frequency |
Annual |
Listing Authority (if applicable) |
SIX Swiss Exchange AG |
Other Material Characteristics as Applicable |
NA |
Registration Date |
January 27, 2021 |
Date of Issue |
January 27, 2021 |
Series Designation |
CB60 |
Issue Currency |
EUR |
Nominal Amount |
1,250,000,000 |
ISIN |
XS2291788656 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
January 27, 2031 |
Extended Maturity Date (if Soft Bullet) |
January 27, 2032 |
Coupon Rate (%) |
0.01 |
Interest Payment Date(s)/Frequency |
Annual |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
July 13, 2021 |
Date of Issue |
July 13, 2021 |
Series Designation |
CB61 |
Issue Currency |
GBP |
Nominal Amount |
1,250,000,000 |
ISIN |
XS2363916474 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
July 13, 2026 |
Extended Maturity Date (if Soft Bullet) |
July 13, 2027 |
Coupon Rate (%) |
Compounded Daily SONIA + 100 bps |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
July 15, 2021 |
Date of Issue |
July 15, 2021 |
Series Designation |
CB62 |
Issue Currency |
EUR |
Nominal Amount |
160,000,000 |
ISIN |
XS2364424544 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
July 15, 2041 |
Extended Maturity Date (if Soft Bullet) |
July 15, 2042 |
Coupon Rate (%) |
0.513 |
Interest Payment Date(s)/Frequency |
Annual |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
September 14, 2021 |
Date of Issue |
September 14, 2021 |
Series Designation |
CB63 |
Issue Currency |
USD |
Nominal Amount |
2,500,000,000 |
ISIN |
US780082AH66 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
September 14, 2026 |
Extended Maturity Date (if Soft Bullet) |
September 14, 2027 |
Coupon Rate (%) |
1.05 |
Interest Payment Date(s)/Frequency |
Semi-Annually |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
October 5, 2021 |
Date of Issue |
October 5, 2021 |
Series Designation |
CB64 |
Issue Currency |
EUR |
Nominal Amount |
1,250,000,000 |
ISIN |
XS2393518910 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
October 5, 2028 |
Extended Maturity Date (if Soft Bullet) |
October 5, 2029 |
Coupon Rate (%) |
0.01 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
ULKA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
October 21, 2021 |
Date of Issue |
October 21, 2021 |
Series Designation |
CB65 |
Issue Currency |
EUR |
Nominal Amount |
100,000,000 |
ISIN |
XS2397786745 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
October 21, 2041 |
Extended Maturity Date (if Soft Bullet) |
October 21, 2042 |
Coupon Rate (%) |
0.638 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
ULKA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
October 22, 2021 |
Date of Issue |
October 22, 2021 |
Series Designation |
CB66 |
Issue Currency |
GBP |
Nominal Amount |
750,000,000 |
ISIN |
XS2399670277 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
October 22, 2026 |
Extended Maturity Date (if Soft Bullet) |
October 22, 2027 |
Coupon Rate (%) |
Compounded Daily SONIA + 100 bps |
Interest Payment Date(s)/Frequency |
Quarterly |
Listing Authority (if applicable) |
ULKA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
January 26, 2022 |
Date of Issue |
January 26, 2022 |
Series Designation |
CB67 |
Issue Currency |
EUR |
Nominal Amount |
2,000,000,000 |
ISIN |
XS2436159847 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
January 26, 2027 |
Extended Maturity Date (if Soft Bullet) |
January 26, 2028 |
Coupon Rate (%) |
0.125 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
ULKA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
March 23, 2022 |
Date of Issue |
March 23, 2022 |
Series Designation |
CB68 |
Issue Currency |
EUR |
Nominal Amount |
2,000,000,000 |
ISIN |
XS2460043743 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
March 23, 2026 |
Extended Maturity Date (if Soft Bullet) |
March 23, 2027 |
Coupon Rate (%) |
0.625 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
ULKA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
March 24, 2022 |
Date of Issue |
March 24, 2022 |
Series Designation |
CB69 |
Issue Currency |
EUR |
Nominal Amount |
150,000,000 |
ISIN |
XS2459046657 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
March 24, 2037 |
Extended Maturity Date (if Soft Bullet) |
March 24, 2038 |
Coupon Rate (%) |
1.296 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
ULKA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
March 24, 2022 |
Date of Issue |
March 24, 2022 |
Series Designation |
CB70 |
Issue Currency |
USD |
Nominal Amount |
1,500,000,000 |
ISIN |
US780082AJ23 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
March 24, 2027 |
Extended Maturity Date (if Soft Bullet) |
March 24, 2028 |
Coupon Rate (%) |
2.60 |
Interest Payment Date(s)/Frequency |
Semi-annually |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
April 5, 2022 |
Date of Issue |
April 5, 2022 |
Series Designation |
CB71 |
Issue Currency |
CHF |
Nominal Amount |
250,000,000 |
ISIN |
CH1174335757 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
October 5, 2026 |
Extended Maturity Date (if Soft Bullet) |
October 5, 2027 |
Coupon Rate (%) |
0.40 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
SIX Swiss |
Other Material Characteristics as Applicable |
NA |
Registration Date |
May 6, 2022 |
Date of Issue |
May 6, 2022 |
Series Designation |
CB72 |
Issue Currency |
AUD |
Nominal Amount |
750,000,000 |
ISIN |
AU3FN0068474 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
May 6, 2025 |
Extended Maturity Date (if Soft Bullet) |
May 6, 2026 |
Coupon Rate (%) |
3m BBSW + 0.70 |
Interest Payment Date(s)/Frequency |
Quarterly |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
May 6, 2022 |
Date of Issue |
May 6, 2022 |
Series Designation |
CB73 |
Issue Currency |
AUD |
Nominal Amount |
750,000,000 |
ISIN |
AU3CB0289072 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
May 6, 2025 |
Extended Maturity Date (if Soft Bullet) |
May 6, 2026 |
Coupon Rate (%) |
3.75 |
Interest Payment Date(s)/Frequency |
Semi-annually |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
June 8, 2022 |
Date of Issue |
June 8, 2022 |
Series Designation |
CB74 |
Issue Currency |
EUR |
Nominal Amount |
1,000,000,000 |
ISIN |
XS2488800405 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
June 8, 2029 |
Extended Maturity Date (if Soft Bullet) |
June 8, 2030 |
Coupon Rate (%) |
1.75 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
June 9, 2022 |
Date of Issue |
June 9, 2022 |
Series Designation |
CB75 |
Issue Currency |
USD |
Nominal Amount |
1,600,000,000 |
ISIN |
US780082AK95 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
June 9, 2025 |
Extended Maturity Date (if Soft Bullet) |
June 9, 2026 |
Coupon Rate (%) |
3.40 |
Interest Payment Date(s)/Frequency |
Semi-annually |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
July 8, 2022 |
Date of Issue |
July 8, 2022 |
Series Designation |
CB76 |
Issue Currency |
CHF |
Nominal Amount |
275,000,000 |
ISIN |
CH1194355033 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
July 8, 2025 |
Extended Maturity Date (if Soft Bullet) |
July 8, 2026 |
Coupon Rate (%) |
1.495 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
SIX SWISS |
Other Material Characteristics as Applicable |
NA |
Registration Date |
July 13, 2022 |
Date of Issue |
July 13, 2022 |
Series Designation |
CB77 |
Issue Currency |
AUD |
Nominal Amount |
500,000,000 |
ISIN |
AU3FN0070025 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
July 13, 2027 |
Extended Maturity Date (if Soft Bullet) |
July 13, 2028 |
Coupon Rate (%) |
3 month BBSW + 105 bps |
Interest Payment Date(s)/Frequency |
Quarterly |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
July 13, 2022 |
Date of Issue |
July 13, 2022 |
Series Designation |
CB78 |
Issue Currency |
AUD |
Nominal Amount |
800,000,000 |
ISIN |
AU3CB0290682 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
July 13, 2027 |
Extended Maturity Date (if Soft Bullet) |
July 13, 2028 |
Coupon Rate (%) |
4.50 |
Interest Payment Date(s)/Frequency |
Semi-Annually |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
September 13, 2022 |
Date of Issue |
September 13, 2022 |
Series Designation |
CB79 |
Issue Currency |
EUR |
Nominal Amount |
1,500,000,000 |
ISIN |
XS2531567753 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
September 13, 2027 |
Extended Maturity Date (if Soft Bullet) |
September 13, 2028 |
Coupon Rate (%) |
2.375 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
September 22, 2022 |
Date of Issue |
September 22, 2022 |
Series Designation |
CB80 |
Issue Currency |
EUR |
Nominal Amount |
150,000,000 |
ISIN |
XS2535724699 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
September 13, 2042 |
Extended Maturity Date (if Soft Bullet) |
September 13, 2043 |
Coupon Rate (%) |
2.7611 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
December 8, 2022 |
Date of Issue |
December 8, 2022 |
Series Designation |
CB81 |
Issue Currency |
USD |
Nominal Amount |
5,000,000,000 |
ISIN |
US780082AL78 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
December 8, 2025 |
Extended Maturity Date (if Soft Bullet) |
December 8, 2026 |
Coupon Rate (%) |
SOFR + 80 bps |
Interest Payment Date(s)/Frequency |
Quarterly |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
December 12, 2022 |
Date of Issue |
December 12, 2022 |
Series Designation |
CB82 |
Issue Currency |
USD |
Nominal Amount |
1,250,000,000 |
ISIN |
US780082AM51 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
December 12, 2025 |
Extended Maturity Date (if Soft Bullet) |
December 12, 2026 |
Coupon Rate (%) |
4.784 |
Interest Payment Date(s)/Frequency |
Semi-annually |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
December 22, 2022 |
Date of Issue |
December 22, 2022 |
Series Designation |
CB83 |
Issue Currency |
CAD |
Nominal Amount |
1,200,000,000 |
ISIN |
CA780086WE04 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
December 22, 2025 |
Extended Maturity Date (if Soft Bullet) |
December 22, 2026 |
Coupon Rate (%) |
4.109 |
Interest Payment Date(s)/Frequency |
Semi-annually |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
January 18, 2023 |
Date of Issue |
January 18, 2023 |
Series Designation |
CB84 |
Issue Currency |
GBP |
Nominal Amount |
750,000,000 |
ISIN |
XS2575882621 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
January 18, 2028 |
Extended Maturity Date (if Soft Bullet) |
January 18, 2029 |
Coupon Rate (%) |
Compounded Daily SONIA + 75 bps |
Interest Payment Date(s)/Frequency |
Quarterly |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
January 30, 2023 |
Date of Issue |
January 30, 2023 |
Series Designation |
CB85 |
Issue Currency |
CHF |
Nominal Amount |
175,000,000 |
ISIN |
CH1239495067 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
January 30, 2026 |
Extended Maturity Date (if Soft Bullet) |
January 30, 2027 |
Coupon Rate (%) |
1.475 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
SIX SWISS |
Other Material Characteristics as Applicable |
NA |
Registration Date |
March 31, 2023 |
Date of Issue |
March 31, 2023 |
Series Designation |
CB86 |
Issue Currency |
CHF |
Nominal Amount |
285,000,000 |
ISIN |
CH1253456102 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
March 31, 2028 |
Extended Maturity Date (if Soft Bullet) |
March 31, 2029 |
Coupon Rate (%) |
2.085 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
SIX SWISS |
Other Material Characteristics as Applicable |
NA |
Registration Date |
April 28, 2023 |
Date of Issue |
April 28, 2023 |
Series Designation |
CB87 |
Issue Currency |
USD |
Nominal Amount |
5,000,000,000 |
ISIN |
US780082AN35 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
April 28, 2028 |
Extended Maturity Date (if Soft Bullet) |
April 28, 2029 |
Coupon Rate (%) |
SOFR + 90 bps per annum |
Interest Payment Date(s)/Frequency |
Quarterly |
Listing Authority (if applicable) |
N/A |
Other Material Characteristics as Applicable |
N/A |
Registration Date |
June 30, 2023 |
Date of Issue |
June 30, 2023 |
Series Designation |
CB88 |
Issue Currency |
AUD |
Nominal Amount |
850,000,000 |
ISIN |
AU3FN0079133 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
June 30, 2026 |
Extended Maturity Date (if Soft Bullet) |
June 30, 2027 |
Coupon Rate (%) |
Compounded Daily 3m BBSW + 73 bps |
Interest Payment Date(s)/Frequency |
Quarterly |
Listing Authority (if applicable) |
NA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
July 25, 2023 |
Date of Issue |
July 25, 2023 |
Series Designation |
CB89 |
Issue Currency |
EUR |
Nominal Amount |
1,500,000,000 |
ISIN |
XS2656481004 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
July 25, 2028 |
Extended Maturity Date (if Soft Bullet) |
July 25, 2029 |
Coupon Rate (%) |
3.501 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
September 18, 2023 |
Date of Issue |
September 18, 2023 |
Series Designation |
CB90 |
Issue Currency |
GBP |
Nominal Amount |
750,000,000 |
ISIN |
XS2688513303 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
March 18, 2027 |
Extended Maturity Date (if Soft Bullet) |
March 18, 2028 |
Coupon Rate (%) |
Compounded Daily SONIA + 0.63 |
Interest Payment Date(s)/Frequency |
Quarterly |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
N/A |
Registration Date |
October 17, 2023 |
Date of Issue |
October 17, 2023 |
Series Designation |
CB91 |
Issue Currency |
EUR |
Nominal Amount |
70,000,000 |
ISIN |
XS2703170816 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
October 17, 2039 |
Extended Maturity Date (if Soft Bullet) |
October 17, 2040 |
Coupon Rate (%) |
4.024 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
N/A |
Registration Date |
December 14, 2023 |
Date of Issue |
December 14, 2023 |
Series Designation |
CB92 |
Issue Currency |
USD |
Nominal Amount |
2,000,000,000 |
ISIN |
US780082AQ65 |
Hard Bullet/Soft Bullet |
Soft |
Maturity Date |
December 14, 2026 |
Extended Maturity Date (if Soft Bullet) |
December 14, 2027 |
Coupon Rate (%) |
4.851 |
Interest Payment Date(s)/Frequency |
Semi-annually |
Listing Authority (if applicable) |
N/A |
Other Material Characteristics as Applicable |
N/A |
Registration Date |
December 21, 2023 |
Date of Issue |
December 21, 2023 |
Series Designation |
CB93 |
Issue Currency |
CAD |
Nominal Amount |
2,000,000,000 |
ISIN |
CA780086U931 |
Hard Bullet/Soft Bullet |
Soft |
Maturity Date |
December 21, 2026 |
Extended Maturity Date (if Soft Bullet) |
December 21, 2027 |
Coupon Rate (%) |
4.256 |
Interest Payment Date(s)/Frequency |
Semi-annually |
Listing Authority (if applicable) |
N/A |
Other Material Characteristics as Applicable |
N/A |
Registration Date |
September 14, 2021 |
Date of Issue |
September 14, 2021 |
Series Designation |
CB94 |
Issue Currency |
EUR |
Nominal Amount |
750,000,000 |
ISIN |
XS2386287762 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
September 14, 2026 |
Extended Maturity Date (if Soft Bullet) |
September 14, 2027 |
Coupon Rate (%) |
0.01 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
FCA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
May 25, 2022 |
Date of Issue |
May 25, 2022 |
Series Designation |
CB95 |
Issue Currency |
EUR |
Nominal Amount |
1,000,000,000 |
ISIN |
XS2481285349 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
September 15, 2027 |
Extended Maturity Date (if Soft Bullet) |
September 15, 2028 |
Coupon Rate (%) |
1.50 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
FCA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
March 7, 2023 |
Date of Issue |
March 7, 2023 |
Series Designation |
CB96 |
Issue Currency |
EUR |
Nominal Amount |
1,000,000,000 |
ISIN |
XS2595029344 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
March 7, 2028 |
Extended Maturity Date (if Soft Bullet) |
March 7, 2029 |
Coupon Rate (%) |
3.625 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
FCA |
Other Material Characteristics as Applicable |
NA |
Registration Date |
June 28, 2024 |
Date of Issue |
June 28, 2024 |
Series Designation |
CB97 |
Issue Currency |
EUR |
Nominal Amount |
75,000,000 |
ISIN |
XS2850664769 |
Hard Bullet/Soft Bullet |
Soft Bullet |
Maturity Date |
June 28, 2039 |
Extended Maturity Date (if Soft Bullet) |
June 28, 2040 |
Coupon Rate (%) |
3.126 |
Interest Payment Date(s)/Frequency |
Annually |
Listing Authority (if applicable) |
UKLA |
Other Material Characteristics as Applicable |
NA |
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