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Official List Notice

Financial Conduct Authority (-)
Official List Notice

31-March-2026 / 08:00 GMT/BST


NOTICE OF ADMISSION TO THE OFFICIAL LIST

31/03/2026, 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: The Republic of Angola

9.375% Notes due 31/03/2033; fully paid; (Registered in denominations of USD200,000 each and integral multiples of USD1,000 in excess thereof) (Regulation S)

Debt and debt-like securities

XS3328007797  

9.375% Notes due 31/03/2033; fully paid; (Registered in denominations of USD200,000 each and integral multiples of USD1,000 in excess thereof) (Rule 144A)

Debt and debt-like securities

US035198AK61  

9.875% Notes due 31/03/2037; fully paid; (Registered in denominations of USD200,000 each and integral multiples of USD1,000 in excess thereof) (Regulation S)

Debt and debt-like securities

XS3328007870  

9.875% Notes due 31/03/2037; fully paid; (Registered in denominations of USD200,000 each and integral multiples of USD1,000 in excess thereof) (Rule 144A)

Debt and debt-like securities

US035198AL45  

 

Issuer Name: EUROPEAN BANK FOR RECONSTRUCTION & DEVELOPMENT

6.75% Notes due 23/03/2027; fully paid; (Registered in denominations of HUF200,000 each)

Debt and debt-like securities

XS3330287940  

6.30% Notes due 31/03/2028; fully paid; (Registered in denominations of AZN10,000 each)

Debt and debt-like securities

XS3325441288  

 

Issuer Name: HSBC Bank PLC

Market Access Warrants linked to ordinary shares issued by Jiangsu Hengli Hydraulic Co Ltd due 30/09/2027

Securitised derivatives

GB00BTDGS363  

 

Issuer Name: BARCLAYS BANK PLC

Securities due 01/04/2032; fully paid; (Represented by securities to bearer of GBP1 each)

Securitised derivatives

XS3239674073  

Securities due 01/04/2032; fully paid; (Represented by securities to bearer of GBP1 each)

Securitised derivatives

XS3239673935  

Securities due 01/04/2032; fully paid; (Represented by securities to bearer of GBP1 each)

Securitised derivatives

XS3239673851  

Securities due 31/03/2031; fully paid; (Registered in denominations of GBP1,000 each)

Securitised derivatives

XS3305336847  

Securities due 01/04/2030; fully paid; (Registered in denominations of GB1,000 each)

Securitised derivatives

XS3305367560  

Securities due 31/03/2031; fully paid; (Registered in denominations of GBP1,000 each)

Securitised derivatives

XS3305369186  

 

Issuer Name: BANK OF MONTREAL

4.249% Covered Bonds due 28/03/2031; fully paid; (Registered in denominations of USD250,000 each and integral multiples of USD1,000 in excess thereof) (Regulation S)

Debt and debt-like securities

USC0623PRG56  

4.249% Covered Bonds due 28/03/2031; fully paid; (Registered in denominations of USD250,000 each and integral multiples of USD1,000 in excess thereof) (Rule 144A)

Debt and debt-like securities

US06368MM278  

 

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 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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