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Delisted Issues (TPBM) | Japan Exchange Group Delisted Issues (TPBM) Archives: s 2025 s 2024 s 2023 s 2022 s 2021 s 2020 s 2019 s 2018 s 2017 s 2016 s 2015 Date of Delisting Issuer Issue Name Code ISIN Code Reason Dec. 17, 2024 Japan International Cooperation Agency Japan International Cooperation Agency JPY 20,500,000,000 0.090 per cent FILP Agency Bonds #72 00721273 JP329350AP32 Maturity Sep. 02, 2024 Japan Finance Organization for Municipalities Japan Finance Organization for Municipalities Series 69 U.S.$1,000,000,000 1.750 per cent. Notes due 2024 00740799 XS2049553956 US471068AQ93 Maturity May 24, 2024 The Metropolis of Tokyo The Metropolis of Tokyo U.S.$1,000,000,000 2.625 per cent. Bonds due 2024 00720799 XS1995917892 US59173LAB62 Maturity Mar. 19, 2024 Bank of China Limited Bank of China Limited, Tokyo Branch JPY10,000,000,000 Floating Rate Notes due ...

Delisted Issues (TPBM) | Japan Exchange Group Delisted Issues (TPBM) Archives: s 2025 s 2024 s 2023 s 2022 s 2021 s 2020 s 2019 s 2018 s 2017 s 2016 s 2015 Date of Delisting Issuer Issue Name Code ISIN Code Reason Dec. 08, 2023 ING Groep N.V. ING Groep N.V. Japanese Yen TOKYO PRO-BOND Market Listed Bonds - First Series (2018) 00650799 JP552843AJQ6 Maturity Nov. 24, 2023 Commerzbank Aktiengesellschaft JPY 2,400,000,000 0.839% Non-Preferred Senior Notes due 29 November 2023 -TOKYO PRO-BOND (2018) 00590799 XS1914508509 Maturity Nov. 02, 2023 UBS Group AG UBS Group Funding (Switzerland) AG Issue of JPY 130,000,000,000 0.719 per cent. Fixed Rate/Floating Rate Senior Notes due 2024 Guaranteed by UBS Group AG under the Senior Debt Programme 00570799 CH0445624981 Advanced redemption Oct. 20, 2023 Japan Finance Organization for Municipalities Japan Finance Organization for ...

Delisted Issues (TPBM) | Japan Exchange Group Delisted Issues (TPBM) Archives: s 2025 s 2024 s 2023 s 2022 s 2021 s 2020 s 2019 s 2018 s 2017 s 2016 s 2015 Date of Delisting Issuer Issue Name Code ISIN Code Reason Oct. 24, 2022 Credit Suisse Group AG Credit Suisse Group AG Issue of JPY 38.7 Billion 0.553% Fixed Rate/Floating Rate Senior Callable Notes due 2023 00440799 CH0385997025 Advanced redemption Sep. 21, 2022 Santander Consumer Finance, S.A. Santander Consumer Finance, S.A. JPY 9,400,000,000 0.680 per cent. Notes due 27 September 2022 00430799 XS1687295706 Maturity Jun. 21, 2022 China Construction Bank Corporation ¥20,000,000,000 0.21 per cent. Notes due 2022 by China Construction Bank Corporation, Tokyo Branch under the U.S.$15,000,000,000 Medium Term Note Programme 00730799 XS2017329728 Maturity Jun. 03, 2022 The Metropolis ...

Delisted Issues (TPBM) | Japan Exchange Group Delisted Issues (TPBM) Archives: s 2025 s 2024 s 2023 s 2022 s 2021 s 2020 s 2019 s 2018 s 2017 s 2016 s 2015 Date of Delisting Issuer Issue Name Code ISIN Code Reason Dec. 13, 2021 ICICI Bank Limited ICICI Bank Limited Japanese Yen TOKYO PRO-BOND Market Listed Bonds - First Series (2016) 00350799 JP535604AGQ0 Maturity Dec. 08, 2021 ING Bank N.V. ING Bank N.V. Japanese Yen TOKYO PRO-BOND Market Listed Bonds - Fifth Series (2018) 00640799 JP552818AJQ8 Maturity Dec. 07, 2021 CPI Property Group CPI Property Group Series 5 JPY 8,000,000,000 1.414 per cent. Senior Notes due 10 December 2021 00620799 XS1917880012 Maturity Nov. 25, 2021 Santander Consumer Finance, S.A. Santander Consumer Finance, S.A. JPY 1,000,000,000 0.707 per cent. Notes due November 2021 00340799 XS1524609614 Maturity Nov. 24, ...

Delisted Issues (TPBM) | Japan Exchange Group Delisted Issues (TPBM) Archives: s 2025 s 2024 s 2023 s 2022 s 2021 s 2020 s 2019 s 2018 s 2017 s 2016 s 2015 Date of Delisting Issuer Issue Name Code ISIN Code Reason Dec. 07, 2020 Santander UK Group Holdings plc JPY 27,000,000,000 0.787 per cent. Notes due December 2020 00220799 XS1331974607 Maturity Dec. 04, 2020 Banco Santander, S.A. (Former Santander International Debt, S.A. Unipersonal) JPY 25,300,000,000 0.543 per cent. Instruments due 9 December 2020 Guaranteed by Banco Santander, S.A. 00200799 XS1328831067 Maturity Nov. 25, 2020 Bank of China Limited Bank of China Limited, Tokyo Branch CNY800,000,000 4.35 per cent. Notes due 2020 under the U.S.$40,000,000,000 Medium Term 00600799 XS1878123139 Maturity Oct. 15, 2020 The Bank of Nova Scotia The Bank of ...

Delisted Issues (TPBM) | Japan Exchange Group Delisted Issues (TPBM) Archives: s 2025 s 2024 s 2023 s 2022 s 2021 s 2020 s 2019 s 2018 s 2017 s 2016 s 2015 Date of Delisting Issuer Issue Name Code ISIN Code Reason Nov. 26, 2019 Santander Consumer Finance, S.A. Santander Consumer Finance, S.A. JPY 6,700,000,000 0.479 per cent. Notes due November 2019 00330799 XS1524613137 Maturity Oct. 28, 2019 Industrial and Commercial Bank of China Limited Industrial and Commercial Bank of China Limited, Tokyo Branch USD4,000,000,000 Medium Term Note Programme Issue of CNY 500,000,000 3.80 per cent. Fixed Rate Notes due 31 October 2019 00310799 XS1492702482 Maturity Sep. 24, 2019 Santander Consumer Finance, S.A. Santander Consumer Finance, S.A. JPY 3,300,000,000 0.287 per cent. Notes due 27 September 2019 00410799 XS1687295532 Maturity Aug. 16, ...

Delisted Issues (TPBM) | Japan Exchange Group Delisted Issues (TPBM) Archives: s 2025 s 2024 s 2023 s 2022 s 2021 s 2020 s 2019 s 2018 s 2017 s 2016 s 2015 Date of Delisting Issuer Issue Name Code ISIN Code Reason Dec. 04, 2018 Santander UK Group Holdings plc JPY 3,000,000,000 0.557 per cent. Notes due December 2018 00210799 XS1331975240 Maturity Oct. 15, 2018 The Bank of Nova Scotia The Bank of Nova Scotia JPY32,300,000,000 0.297 per cent. Notes due 19 October 2018 (under the U.S.$20,000,000,000 Euro Medium Term Note Programme) 00180799 XS1305472810 Maturity Sep. 21, 2018 Mizuho Bank, Ltd. The Bonds of Mizuho Bank, Ltd. No. 1/2558 Due B.E. 2561 (2018) 00170799 TH681103S903 Maturity Jun. 27, 2018 ING Bank N.V. ING Bank N.V. Japanese Yen TOKYO PRO-BOND Market Listed Bonds – ...

Delisted Issues (TPBM) | Japan Exchange Group Delisted Issues (TPBM) Archives: s 2025 s 2024 s 2023 s 2022 s 2021 s 2020 s 2019 s 2018 s 2017 s 2016 s 2015 Date of Delisting Issuer Issue Name Code ISIN Code Reason Jul. 03, 2017 Mizuho Bank, Ltd. Mizuho Bank, Ltd. CNY250,000,000 3.82 per cent. Notes due 2017 under the U.S.$7,500,000,000 Debt Issuance Programme 00160799 XS1255913029 Maturity May 16, 2017 Malayan Banking Berhad Malayan Banking Berhad JPY31,100,000,000 Senior Fixed Rate Notes due 22 May 2017 issued under USD5 billion Multicurrency Medium Term Note Programme 00070799 XS1068223285 Maturity Apr. 18, 2017 Banco Santander-Chile Banco Santander-Chile Japanese Yen TOKYO PRO-BOND Market Listed Bonds - First Series (2014) 00040799 JP515201AEG5 Maturity Apr. 18, 2017 Banco Santander-Chile Banco Santander-Chile Japanese Yen TOKYO PRO-BOND Market Listed Floating Rate Bonds - ...

Delisted Issues (TPBM) | Japan Exchange Group Delisted Issues (TPBM) Archives: s 2025 s 2024 s 2023 s 2022 s 2021 s 2020 s 2019 s 2018 s 2017 s 2016 s 2015 No corresponding information...

Delisted Issues (TPBM) | Japan Exchange Group Delisted Issues (TPBM) Archives: s 2025 s 2024 s 2023 s 2022 s 2021 s 2020 s 2019 s 2018 s 2017 s 2016 s 2015 Date of Delisting Issuer Issue Name Code ISIN Code Reason Dec. 14, 2015 ING BANK N.V. ING BANK N.V. Japanese Yen TOKYO PRO-BOND Market Listed Bonds - Second Series (2012) 00020799 JP552818ACQ3 Maturity Dec. 14, 2015 ING BANK N.V. ING BANK N.V. Japanese Yen TOKYO PRO-BOND Market Listed Floating Rate Bonds - First Series (2012) 00030799 JP552818BCQ1 Maturity...