Source - RNS
RNS Number : 6041J
Official List
13 September 2016
 

NOTICE OF ADMISSION TO THE OFFICIAL LIST

 

13/09/2016 08:00 AM

 

The Financial Conduct Authority ("FCA") hereby admits the following securities to the Official List with effect from the time and date of this notice:-

 

Boost Issuer Public Limited Company 

30,000

Boost Gold 3x Leverage Daily ETP Securities due 30/11/2062
fully paid
(Registered in denominations of USD2 each)
 

Standard Debt
 

(IE00B8HGT870) ●



9,593

Boost Gold 3x Leverage Daily ETP Securities due 30/11/2062
fully paid
(Registered in denominations of USD2 each)
 

Standard Debt
 

(IE00B8HGT870) ●



2,500

Boost WTI Oil 3x Short Daily ETP Securities due 30/11/2062
fully paid
(Registered in denominations of USD2 each)
 

Standard Debt
 

(IE00B7SX5Y86) ●



 

CITY OF GOTEBORG 

SEK650,000,000

0.25% Notes due 13/09/2021
fully paid
(Represented by notes to bearer of SEK1,000,000 each)
 

Standard Debt
 

(XS1489408945) ●



SEK1,350,000,000

Floating Rate Notes due 13/09/2021
fully paid
(Represented by notes to bearer of SEK1,000,000 each)
 

Standard Debt
 

(XS1489408861) ●



 

Credit Agricole CIB Financial Solutions 

EUR2,000,000

Index Linked Interest and Redemption Notes due 13/09/2024
fully paid
(Represented by notes to bearer of EUR1,000 each)
 

Standard Debt
 

(XS1417399307) ●



 

ETFS Commodity Securities Limited 

2,100

ETFS 1X Daily Short Brent Crude
fully paid
 

Standard Debt
 

(JE00B78DPL57) ●



5,000

ETFS 1X Daily Short Gasoline
fully paid
 

Standard Debt
 

(JE00B24DKB91) ●



21,600

ETFS 1X Daily Short Silver
fully paid
 

Standard Debt
 

(JE00B24DKK82) ●



1,000

ETFS 1X Daily Short WTI Crude Oil
fully paid
 

Standard Debt
 

(JE00B24DK975) ●



18,000

ETFS 2X Daily Long Cocoa
fully paid
 

Standard Debt
 

(JE00B2NFV803) ●



10,400

ETFS 2X Daily Long Gold
fully paid
 

Standard Debt
 

(JE00B2NFTL95) ●



60,200

ETFS 2X Daily Long Heating Oil
fully paid
 

Standard Debt
 

(JE00B2NFTM03) ●



6,000

ETFS 2X Daily Long Natural Gas
fully paid
 

Standard Debt
 

(JE00BDD9Q956) ●



23,500

ETFS 2X Daily Long Platinum
fully paid
 

Standard Debt
 

(JE00B2NFV134) ●



13,000

ETFS 2X Daily Long Silver
fully paid
 

Standard Debt
 

(JE00B2NFTS64) ●



45,200

ETFS 2X Daily Long Soybean Oil
fully paid
 

Standard Debt
 

(JE00B2NFTT71) ●



2,000

ETFS 2X Daily Long WTI Crude Oil
fully paid
 

Standard Debt
 

(JE00BDD9Q840) ●



1,900

ETFS 2X Daily Long Wheat
fully paid
 

Standard Debt
 

(JE00BDD9QC84) ●



2,600

ETFS 3X Daily Long Gold Securities
fully paid
 

Standard Debt
 

(JE00BYQY4X40) ●



13,400

ETFS 3X Daily Long Natural Gas Securities
fully paid
 

Standard Debt
 

(JE00BYQY5H56) ●



1,800

ETFS 3X Daily Short Natural Gas Securities
fully paid
 

Standard Debt
 

(JE00BYQY5082) ●



4,300

ETFS 3X Daily Short Silver Securities
fully paid
 

Standard Debt
 

(JE00BYQY6502) ●



20,600

ETFS 3X Daily Short Sugar Securities
fully paid
 

Standard Debt
 

(JE00BYQY7799) ●



26,500

ETFS 3X Daily Short WTI Crude Oil Securities
fully paid
 

Standard Debt
 

(JE00BYQY8219) ●



34,800

ETFS Agriculture DJ-AIGCI Securities
fully paid
 

Standard Debt
 

(GB00B15KYH63) ●



1,000

ETFS All Commodities DJ-AIGCI Securities
fully paid
 

Standard Debt
 

(GB00B15KY989) ●



96,800

ETFS Cocoa
fully paid
 

Standard Debt
 

(JE00B2QXZK10) ●



5,600

ETFS Copper Securities
fully paid
 

Standard Debt
 

(GB00B15KXQ89) ●



2,000

ETFS Heating Oil Securities
fully paid
 

Standard Debt
 

(GB00B15KXY63) ●



1,490,400

ETFS Natural Gas Securities
fully paid
 

Standard Debt
 

(GB00B15KY104) ●



40,000

ETFS Precious Metals DJ-AIGCI Securities
fully paid
 

Standard Debt
 

(GB00B15KYF40) ●



37,500

ETFS Silver Securities
fully paid
 

Standard Debt
 

(GB00B15KY328) ●



20,200

ETFS Soybean Oil Securities
fully paid
 

Standard Debt
 

(GB00B15KY435) ●



416,700

ETFS Wheat Securities
fully paid
 

Standard Debt
 

(GB00B15KY765) ●



 

ETFS Foreign Exchange Limited 

500

ETFS 3x Long EUR Short GBP
fully paid
 

Standard Debt
 

(JE00B3VJDN05) ●



 

ETFS Hedged Commodity Securities Limited

6,000

ETFS GBP Daily Hedged Industrial Metals DJ-UBS PDSM
fully paid
 

Standard Debt
 

(JE00B63MJ075) ●



 

ETFS Metal Securities Limited

48,000

ETFS Physical Gold Securities
fully paid
 

Standard Debt
 

(JE00B1VS3770) ●



25,000

ETFS Physical Palladium Securities
fully paid
 

Standard Debt
 

(JE00B1VS3002) ●



87,000

ETFS Physical Silver Securities
fully paid
 

Standard Debt
 

(JE00B1VS3333) ●



 

Gold Bullion Securities Limited 

290,000

(LYXOR GBS) Secured Undated Zero Coupon Notes
fully paid
 

Standard Debt
 

(GB00B00FHZ82) ●



 

Housing Development Finance Corporation Limited 

INR10,000,000,000

7.000% Synthetic INR Notes due 09/01/2020
fully paid
(Registered in denominations of INR10,000,000 each and integral multiples in excess thereof)
 

Standard Debt
 

(XS1486517367) ●



 

HSBC Bank PLC 

16,000,000

Market Access Warrants linked to ordinary A shares issued by Huaxia Bank Co., Ltd. due 13/09/2019
 

Standard Securitised Derivatives
 

(GB00BD2MHC51) ●



 

International Finance Corporation 

USD50,000,000

Callable Zero Coupon Notes due 12/09/2046
fully paid
(Represented by notes to bearer of USD2,000,000 each)
 

Standard Debt
 

(XS1488055986) ●



USD50,000,000

Callable Zero Coupon Notes due 13/09/2046
fully paid
(Represented by a note to bearer)
 

Standard Debt
 

(XS1487341270) ●



USD50,000,000

Zero Coupon Callable Notes due 13/09/2046
fully paid
(Represented by notes to bearer of USD2,000,000 each)
 

Standard Debt
 

(XS1489402740) ●



 

Prudential PLC 

USD725,000,000

4.375% Undated Tier 2 Notes
fully paid
(Represented by notes to bearer of USD200,000 each and integral multiples of USD1,000 in excess thereof)
 

Standard Debt
 

(XS1488414464) ●



 

Source Physical Markets PLC 

45,000

Secured Gold-Linked Certificates due 2100
fully paid
 

Standard Debt
 

(IE00B579F325) ●



60,000

Secured Gold-Linked Certificates due 2100
fully paid
 

Standard Debt
 

(IE00B579F325) ●



 

WESTPAC BANKING CORPORATION 

USD15,000,000

Floating Rate Instruments due 13/09/2017
fully paid
(Represented by instruments to bearer of USD200,000 each)
 

Standard Debt
 

(XS1489338472) ●



 

 

If you have any queries relating to the above, please contact Listing Applications at the FCA on 020 7066 8352.

 

Notes

 

●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 ICAP Securities & Derivatives Exchange (ISDX), a Recognised Investment Exchange.

 

#Denotes the security is also being admitted to trading on Euronext London, a Recognised Investment Exchange.

 

~Denotes the security is also being admitted to trading on BATS Europe Regulated Market, a Recognised Investment Exchange.

 

- Dealing 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.

 

- SEDOL numbers which are allocated by the London Stock Exchange as a Stock Exchange identifier may be found on their dealing notice.

 


This information is provided by RNS
The company news service from the London Stock Exchange
 
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