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Pin to quick picksNationwide Ccds Regulatory News (NBS)

Share Price Information for Nationwide Ccds (NBS)

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Share Price: 133.00
Bid: 130.00
Ask: 136.00
Change: 0.00 (0.00%)
Spread: 6.00 (4.615%)
Open: 131.00
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Low: 131.00
Prev. Close: 133.00
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Notice of Updated Swap Agreements

3 Apr 2017 14:41

RNS Number : 4071B
Nationwide Building Society
03 April 2017
 

RNS ANNOUCEMENT

NOT FOR DISTRIBUTION IN OR INTO OR TO ANY PERSON LOCATED OR RESIDENT IN ANY JURISDICTION WHERE SUCH DISTRIBUTION IS UNLAWFUL

NATIONWIDE BUILDING SOCIETY

(the Issuer)

(incorporated in England and Wales under the Building Societies Act 1986, as amended)

 

NOTICE OF UPDATED SWAP AGREEMENTS

to each of the holders of the outstanding:

 

€2,000,000,000 Series 2007-01 Tranche 2 Covered Bonds due 2022 (ISIN: XS0289011198, Common Code: 028901119);

kr500,000,000 Series 2010-02 Covered Bonds due 2020 (ISIN: XS0550431083, Common Code: 055043108);

kr500,000,000 Series 2011-01 Covered Bonds due 2021 (ISIN: XS0582521661, Common Code: 058252166);

£750,000,000 Series 2011-02 Covered Bonds due 2026 (ISIN: XS0584363724, Common Code: 058436372);

€1,250,000,000 Series 2011-03 Covered Bonds due 2021 (ISIN: XS0589642049, Common Code: 058964204);

€30,000,000 Series 2011-04 Covered Bonds due 2031 (ISIN: XS0592707615, Common Code: 059270761);

€132,000,000 Series 2011-05 N Covered Bonds due 2025;

€50,000,000 Series 2011-06 N Covered Bonds due 2023;

kr500,000,000 Series 2011-07 Covered Bonds due 2021 (ISIN: XS0605287217, Common Code: 060528721);

€50,000,000 Series 2011-09 N Covered Bonds due 2032;

kr400,000,000 Series 2011-10 Covered Bonds due 2018 (ISIN: XS0622731197, Common Code: 062273119);

€58,000,000 Series 2011-11 N Covered Bonds due 2017;

€100,000,000 Series 2011-13 N Covered Bonds due 2026;

€40,000,000 Series 2011-14 N Covered Bonds due 2029;

€50,000,000 Series 2011-15 N Covered Bonds due 2026;

€103,000,000 Series 2011-17 N Covered Bonds due 2027;

€40,000,000 Series 2011-18 N Covered Bonds due 2029;

£100,000,000 Series 2011-20 Covered Bonds due 2026 (ISIN: XS0697790342, Common Code: 069779034);

£100,000,000 Series 2011-21 Covered Bonds due 2028 (ISIN: XS0697790185, Common Code: 069779018);

£50,000,000 Series 2011-22 Covered Bonds due 2031 (ISIN: XS0697790425, Common Code: 069779042);

€77,000,000 Series 2011-23 N Covered Bonds due 2032;

€116,000,000 Series 2012-02 N Covered Bonds due 2027;

€88,000,000 Series 2012-03 N Covered Bonds due 2030;

€157,500,000 Series 2012-06 N Covered Bonds due 2028;

€1,000,000,000 Series 2014-01 Covered Bonds due 2019 (ISIN: XS1081041557, Common Code: 108104155);

€750,000,000 Series 2014-02 Covered Bonds due 2029 (ISIN: XS1081100239, Common Code: 108110023);

£750,000,000 Series 2014-03 Covered Bonds due 2017 (ISIN: XS1087802234, Common Code: 108780223);

€56,000,000 Series 2014-04 N Covered Bonds due 2039;

€50,000,000 Series 2014-05 N Covered Bonds due 2039;

€1,000,000,000 Series 2014-06 Covered Bonds due 2021 (ISIN: XS1130066175, Common Code: 113006617);

€50,000,000 Series 2014-07 Covered Bonds due 2039 (ISIN: XS1151430185, Common Code: 115143018);

€50,000,000 Series 2015-01 Covered Bonds due 2030 (ISIN: XS1177825814, Common Code: 117782581);

€750,000,000 Series 2015-02 Covered Bonds due 2027 (ISIN: XS1207683522, Common Code: 120768352);

€25,000,000 Series 2015-03 N Covered Bonds due 2035;

£750,000,000 Series 2015-04 Covered Bonds due 2018 (ISIN: XS1223775716, Common Code: 122377571);

€50,000,000 Series 2015-05 Covered Bonds due 2035 (ISIN: XS1225157533, Common Code: 122515753);

€105,000,000 Series 2015-06 Covered Bonds due 2034 (ISIN: XS1242438742, Common Code: 124243874);

€100,000,000 Series 2015-07 Covered Bonds due 2031 (ISIN: XS1261795378, Common Code: 126179537);

€50,000,000 Series 2015-08 N Covered Bonds due 2035;

€45,000,000 Series 2015-09 N Covered Bonds due 2035;

€1,000,000,000 Series 2015-10 Covered Bonds due 2020 (ISIN: XS1268460885, Common Code: 126846088);

€1,000,000,000 Series 2015-11 Covered Bonds due 2022 (ISIN: XS1308693867, Common Code: 130869386);

€35,000,000 Series 2015-12 Covered Bonds due 2035 (ISIN: XS1316442992, Common Code: 131644299);

€50,000,000 Series 2015-13 Covered Bonds due 2032 (ISIN: XS1332497616, Common Code: 133249761);

€25,000,000 Series 2015-14 Covered Bonds due 2035 (ISIN: XS1333830005, Common Code: 133383000);

€100,000,000 Series 2015-15 Covered Bonds due 2020 (ISIN: XS1334768733, Common Code: 133476873);

€25,000,000 Series 2016-01 Covered Bonds due 2041 (ISIN: XS1350139439, Common Code: 135013943);

€30,000,000 Series 2016-02 Covered Bonds due 2041 (ISIN: XS1352028432, Common Code: 135202843);

€51,000,000 Series 2016-03 Covered Bonds due 2036 (ISIN: XS1369280661, Common Code: 136928066);

€50,000,000 Series 2016-04 Covered Bonds due 2036 (ISIN: XS1371729259, Common Code: 137172925);

€40,000,000 Series 2016-05 Covered Bonds due 2041 (ISIN: XS1371979284, Common Code: 137197928);

€25,000,000 Series 2016-06 Covered Bonds due 2023 (ISIN: XS1373029856, Common Code: 137302985);

€1,250,000,000 Series 2016-07 Covered Bonds due 2021 (ISIN: XS1374414891, Common Code: 137441489);

€30,000,000 Series 2016-08 Covered Bonds due 2036 (ISIN: XS1378944836, Common Code: 137894483);

€50,000,000 Series 2016-09 Covered Bonds due 2038 (ISIN: XS1380330826, Common Code: 138033082);

€50,000,000 Series 2016-10 Covered Bonds due 2031 (ISIN: XS1380328259, Common Code: 138032825);

€40,000,000 Series 2016-11 Covered Bonds due 2036 (ISIN: XS1384262389, Common Code: 138426238);

€80,000,000 Series 2016-12 Covered Bonds due 2021 (ISIN: XS1385380289, Common Code: 138538028);

£750,000,000 Series 2016-13 Covered Bonds due 2019 (ISIN: XS1397740603, Common Code: 139774060);

€60,000,000 Series 2016-14 Covered Bonds due 2041 (ISIN: XS1397982874, Common Code: 139798287);

€25,000,000 Series 2016-15 Covered Bonds due 2041 (ISIN: XS1407047411, Common Code: 140704741); and

€1,000,000,000 Series 2017-01 Covered Bonds due 2024 (ISIN: XS1569896498, Common Code: 156989649)

The Issuer announces today that the Covered Bond Swap Agreements to which Nationwide Building Society is a party and the Interest Rate Swap Agreement have each been amended to implement the new Fitch criteria dated 20 March 2017 in accordance with Condition 14.

Capitalised terms used but not otherwise defined herein shall have the meanings ascribed to them in the master definitions and construction agreement related to the Programme dated 30 November 2005 and as last amended and restated on 1 July 2016.

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
MSCUGUGWCUPMGWW
Date   Source Headline
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7th Sep 20172:02 pmRNSIssue of CCDS
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31st Aug 20175:43 pmRNSPublication of a Prospectus
11th Aug 20176:31 pmRNSPublication of Suppl.Prospcts (Replacement)
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26th Jul 20179:50 amRNSRedemption of Callable Reset Subordinated Notes
24th Jul 201710:14 amRNSPublication of Final Terms
20th Jul 20173:23 pmRNSResult of AGM
18th Jul 20172:39 pmRNSStabilisation Notice - Nationwide
18th Jul 20172:36 pmRNSStabilisation Notice - Nationwide
18th Jul 20178:27 amRNSStabilisation Notice - Nationwide
30th Jun 20175:02 pmRNSPublication of a Prospectus
2nd Jun 20173:11 pmRNSPublication of Final Terms
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24th May 20176:13 pmRNSPublication of Suppl.Prospcts
23rd May 20177:00 amRNSPreliminary Results Announcement
18th May 20178:00 amRNSDoc re. Appointment of Non-Executive Director
3rd May 201712:01 pmRNSCCDS - Notification of Adjustment to PIR Cap
13th Apr 20173:46 pmRNSPublication of Final Terms
10th Apr 20178:48 amRNSStabilisation Notice - NWIDE 6YR EUR
3rd Apr 20172:41 pmRNSNotice of Updated Swap Agreements
21st Mar 201712:35 pmRNSPublication of Final Terms
23rd Feb 20172:49 pmRNSPublication of Final Terms
10th Feb 20171:14 pmRNSPublication of Interim Management Statement (Q3)
10th Feb 20177:00 amRNSInterim Management Statement
8th Feb 201710:04 amRNSPublication of Final Terms
23rd Jan 20171:41 pmRNSNotice of Amendments to Transaction Documents
18th Jan 201710:38 amRNSDoc re. Appointment of Non-Executive Director
19th Dec 20161:29 pmRNSNotice of Cancellation of Listing - PIBS
30th Nov 20167:15 amRNSNationwide's Response to the Stress Test Results
18th Nov 201612:41 pmRNSSupplement and Interim Results
18th Nov 20167:00 amRNSHalf-year Report
17th Oct 201612:30 pmRNSNotice by Issuer to the PIBS holders - Redemption
12th Sep 20164:03 pmRNSPublication of Final Terms
31st Aug 20166:00 pmRNSPublication of a Prospectus
12th Aug 20163:15 pmRNSPublication of Supplementary Prospectus
12th Aug 20167:00 amRNSInterim Management Statement
3rd Aug 20164:03 pmRNSPublication of a Prospectus
26th Jul 20164:58 pmRNSPublication of Final Terms
25th Jul 20163:39 pmRNSPublication of Final Terms
25th Jul 201610:07 amRNSPublication of Final Terms

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