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RNS Number : 9041X Official List 26 July 2024
NOTICE OF ADMISSION TO THE OFFICIAL LIST
26/07/2024 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:-
Amount Security Description Listing Category ISIN
Issuer Name: INTER-AMERICAN DEVELOPMENT BANK
100000000 4.375% Notes due 02/05/2033; fully paid; (Registered in denominations of Standard Debt XS2810876065 ●
GBP1,000 each and integral multiples thereof)
Issuer Name: Invesco Physical Markets PLC
4000 Secured Gold-Linked Certificates due 2100; fully paid Standard Debt IE00B579F325 ●
5000 Secured Gold-Linked Certificates due 2100; fully paid Standard Debt IE00B579F325 ●
41000 Secured Gold-Linked Certificates due 2100; fully paid Standard Debt IE00B579F325 ●
146000 Secured Gold-Linked Certificates due 2100; fully paid Standard Debt IE00B579F325 ●
25000 Secured Silver-Linked Certificates due 2100; fully paid Standard Debt IE00B43VDT70 ●
Issuer Name: iShares Physical Metals plc
468000 iShares Physical Gold ETC; fully paid Standard Debt IE00B4ND3602 ●
412000 Physical Silver ETC; fully paid Standard Debt IE00B4NCWG09 ●
Issuer Name: Unite Group Plc
50000000 Ordinary Shares of 25p each; fully paid Premium Equity Commercial Companies GB0006928617 ●
Issuer Name: SG ISSUER
700000 Notes due 19/07/2034; fully paid; (Registered in denominations of GBP1 each) Standard Securitised Derivatives GB00BPYCLR07 ●
Issuer Name: International Finance Corporation
13293000000 10.50% Instalment Notes due 22/06/2032; fully paid; (Registered in Standard Debt XS2868923611 ●
denominations of RWF120,000 each)
Issuer Name: Credit Agricole Corporate and Investment Bank
3000000 Preference Share Linked Notes due 26/07/2030; fully paid; (Represented by Standard Debt XS2559724484 ●
notes to bearer of GBP1,000 each and integral multiples of GBP1.00 in excess
thereof up to and including GBP1,999)
Issuer Name: CITIGROUP GLOBAL MARKETS FUNDING LUXEMBOURG S.C.A.
2151792 Notes linked to Preference Shares of Citigroup Global Markets Funding Standard Securitised Derivatives XS2814709650 ●
Luxembourg S.C.A. CGMFL79862 due 26/07/2030; fully paid; (Registered in
denominations of GBP1.00 each)
1061516 Reverse Convertible Notes linked to the FTSE 100 Index due 26/07/2029; fully Standard Securitised Derivatives XS2807660035 ●
paid; (Registered in denominations of GBP1.00 each)
Issuer Name: Xtrackers ETC plc
18996000 Xtrackers IE Physical Gold ETC Securities due 23/04/2080; fully paid Standard Debt DE000A2T0VU5 ●
Issuer Name: Pensana Plc
1500000 Ordinary Shares of GBP0.001 each; fully paid Standard Shares GB00BKM0ZJ18 ●
Issuer Name: HANetf ETC Securities plc
200900 Metal Securities of The Royal Mint Responsibly Sourced Physical Gold ETC Standard Debt XS2115336336 ●
Securities; fully paid
Issuer Name: Amundi Physical Metals plc
380000 Amundi Physical Gold ETC Securities due 23/05/2118; fully paid Standard Debt FR0013416716 ●
Issuer Name: Economic Master Issuer PLC
500000000 Series 2024-1 Class A Residential Mortgage-Backed Floating Rate Notes due Standard Debt XS2856907063 ●
25/04/2075; fully paid; (Registered in denominations of GBP100,000 each and
integral multiples of GBP1,000 in excess thereof)
Issuer Name: HSBC Bank PLC
1158301 Market Access Warrants linked to ordinary shares issued by Contemporary Standard Securitised Derivatives GB00BS3KNL44 ●
Amperex Technology Co., Limited due 17/07/2025
Issuer Name: WisdomTree Commodity Securities Limited
124500 WisdomTree Industrial Metals; fully paid Standard Debt GB00B15KYG56 ●
54900 WisdomTree Coffee 3x Daily Leveraged; fully paid Standard Debt JE00BYQY3Z98 ●
153600 WisdomTree Sugar 3x Daily Leveraged; fully paid Standard Debt JE00BYQY7H96 ●
7000 WisdomTree Brent Crude Oil 2x Daily Leveraged; fully paid Standard Debt JE00BDD9QD91 ●
73500 WisdomTree Coffee 2x Daily Leveraged; fully paid Standard Debt JE00B2NFTD12 ●
33000 WisdomTree Corn 2x Daily Leveraged; fully paid Standard Debt JE00B2NFTG43 ●
3854400 WisdomTree Natural Gas 2x Daily Leveraged; fully paid Standard Debt JE00BDD9Q956 ●
10400 WisdomTree WTI Crude Oil 2x Daily Leveraged; fully paid Standard Debt JE00BDD9Q840 ●
105500 WisdomTree Sugar 2x Daily Leveraged; fully paid Standard Debt JE00B2NFTW01 ●
63800 WisdomTree Wheat 2x Daily Leveraged; fully paid Standard Debt JE00BDD9QC84 ●
58000 WisdomTree Agriculture; fully paid Standard Debt GB00B15KYH63 ●
64200 WisdomTree Aluminium; fully paid Standard Debt GB00B15KXN58 ●
1000 WisdomTree Petroleum; fully paid Standard Debt GB00B15KYC19 ●
110500 WisdomTree Cotton; fully paid Standard Debt GB00B15KXT11 ●
1500 WisdomTree Broad Commodities Longer Dated; fully paid Standard Debt JE00B24DMC49 ●
31100 WisdomTree Natural Gas; fully paid Standard Debt JE00BN7KB334 ●
8400 WisdomTree Wheat; fully paid Standard Debt JE00BN7KB664 ●
Issuer Name: WisdomTree Foreign Exchange Limited
2500 WisdomTree Long JPY Short GBP; fully paid Standard Debt JE00B3XR4V72 ●
200 WisdomTree Short JPY Long USD 3x Daily; fully paid Standard Debt JE00B3WFMB84 ●
Issuer Name: Oxford Biomedica plc
100000 (Block Listing) Ordinary Shares of 50p each; fully paid Premium Equity Commercial Companies GB00BDFBVT43 ●
Issuer Name: Leverage Shares Public Limited Company
5229 Leverage Shares 2x Amazon ETP Securities due 05/12/2067; fully paid Standard Debt IE00BF03XH11 ●
1148 Leverage Shares 2x Micron Technology ETP Securities due 04/06/2070; fully paid Standard Debt IE00BKT66K01 ●
3114 Leverage Shares 2x Tesla ETP Securities due 07/04/2070; fully paid Standard Debt IE00BK5BZY66 ●
23905 Leverage Shares 3x Amazon ETP Securities due 04/06/2070; fully paid Standard Debt IE00BK5BZQ82 ●
4356 Leverage Shares 3x Long Moderna (MRNA) ETP Securities; fully paid Standard Debt XS2675718725 ●
7000 Leverage Shares 3x Long Total World ETP Securities; fully paid Standard Debt XS2399364822 ●
12133 Leverage Shares -3x Short Gold ETP Securities; fully paid Standard Debt XS2472195283 ●
246516 Leverage Shares 3x Tesla ETP Securities; fully paid Standard Debt XS2757381400 ●
Issuer Name: WisdomTree Metal Securities Limited
88000 WisdomTree Physical Silver; fully paid Standard Debt JE00B1VS3333 ●
10000 WisdomTree Physical Palladium; fully paid Standard Debt JE00B1VS3002 ●
25200 WisdomTree Physical Platinum; fully paid Standard Debt JE00B1VS2W53 ●
1000 WisdomTree Core Physical Gold; fully paid Standard Debt JE00BN2CJ301 ●
Issuer Name: COMMONWEALTH BANK OF AUSTRALIA
200000000 Floating Rate Notes due 25/07/2025; fully paid; (Represented by notes to Standard Debt XS2868120747 ●
bearer of USD200,000 each)
Issuer Name: WisdomTree Multi Asset Issuer Public Limited Company
17800 WisdomTree Copper 3x Daily Leveraged; fully paid Standard Debt IE00B8JVMZ80 ●
7900 WisdomTree WTI Crude Oil 3x Daily Leveraged; fully paid Standard Debt IE00BMTM6B32 ●
7900 WisdomTree Silver 3x Daily Leveraged; fully paid Standard Debt IE00B7XD2195 ●
8100 WisdomTree Industrial Metals Enhanced; fully paid Standard Debt IE00BF4TWC33 ●
30000 WisdomTree NASDAQ 100 3x Daily Leveraged; fully paid Standard Debt IE00BLRPRL42 ●
If you have any queries relating to the above, please contact Issuer
Management at the FCA on 020 7066 8352.
If you have any queries relating to the above, please contact Issuer
Management 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 Euronext, 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.
*Denotes the security is also being admitted to trading on IPSX Prime, 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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