Final Terms 2019

Below you can download all Final Terms for 2019.

EUR 1,000,000,000 0.00 per cent. Fixed Rate Notes due 16 November 2026 (series 1524)
EUR 100,000,000 3.000 per cent. Fixed Rate Notes due 11 September 2031 (series 1354, tranche 2)
EUR 300,000,000 0.5 per cent. Fixed Rate Notes due 29 April 2030 (series 1411, tranche 7)
EUR 50,000,000 3.000 per cent. Fixed Rate Notes due 16 November 2023 (series 1230, tranche 3)
EUR 300,000,000 0.500 per cent. Fixed Rate Notes due 27 October 2022 (series 1418, tranche 2)
EUR 150,000,000 Callable Fixed Rate Notes due 4 November 2049 (series 1523)
USD 50,000,000 Reg S/144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 11)
EUR 100,000,000 0.501 per cent. Callable Fixed Rate Notes due 24 October 2039 (series 1522)
USD 50,000,000 Reg S/144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 10)
USD 50,000,000 Reg S/144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 9)
USD 100,000,000 Reg S/144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 8)
USD 50,000,000 Reg S/144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 7)
EUR 500,000,000 0.00 per cent. Fixed Rate Water Bonds due 2 October 2034 (series 1521)
EUR 30,000,000 Callable Zero Coupon Notes due 23 September 2069 (series 1520)
USD 100,000,000 Reg S/144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 6)
USD 100,000,000 Reg S/144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 5)
USD 1,500,000,000 1.500 per cent. Fixed Rate Notes due 27 August 2021 (series 1519)
USD 200,000,000 Reg S/144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 4)
USD 250,000,000 Reg S/144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 3)
USD 50,000,000 Reg S/144A Floating Rate Notes due 10 November 2020 (series 1513, tranche 2)
EUR 250,000,000 0.877 per cent. Fixed Rate Notes due 24 June 2054 (series 1516)
EUR 50,000,000 0.964 per cent. Fixed Rate Notes due 11 June 2059 (series 1515)
EUR 1,000,000,000 0.125 per cent. Fixed Rate SDG Housing Bonds due 28 May 2027 (series 1514)
USD 500,000,000 Reg S/144A Floating Rate Notes due November 2020 (series 1513)
EUR 85,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 23)
EUR 50,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 13)
EUR 50,000,000 0.5 per cent. Fixed Rate Notes due 29 April 2030 (series 1411, tranche 6)
EUR 30,000,000 0.750 per cent. Fixed Rate Notes due 4 October 2041 (series 1445, tranche 22)
EUR 25,000,0001.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 12)
GBP 15,000,000 1.559 per cent. Fixed Rate Notes due 11 March 2026 (series 1510, tranche 1)
EUR 25,000,000 1.250 per cent Fixed Rate Notes due 27 May 2036 (series 1435, tranche 11)
EUR 25,000,000 0.750 per cent Fixed Rate Notes due 4 October 2041 (series 1445, tranche 21)
EUR 25,000,000 0.750 per cent Fixed Rate Notes due 4 October 2041 (series 1445, tranche 20)
EUR 50,000,000 1.250 per cent. Fixed Rate Notes due 27 May 2036 (series 1435, tranche 10)
EUR 50,000,000 0.750 per cent Fixed Rate Notes due 4 October 2041 (series 1445, tranche 19)
EUR 1,000,000,000 0.625 per cent. Fixed Rate Affordable Housing Bonds due 6 February 2029 (series 1509)
EUR 20,000,000 1.85 per cent. Callable Fixed Rate Notes due 11 February 2059 (series 1508)
EUR 19,400,000 1.79 per cent. Callable Notes due 29 January 2049 (series 1507)
EUR 1,250,000,000 0.125 per cent. Fixed Rate Notes due 17 January 2024 (series 1506)