Company Announcements

Admission to Trading - 13/10/2020

Source: RNS
RNS Number : 8400B
London Stock Exchange Notice
13 October 2020
 

NOTICE OF ADMISSION TO TRADING ON THE LONDON STOCK EXCHANGE - XLON

 

13/10/2020 - 08:00

 

The following securities are admitted to trading on the LSE with effect from the time and date of this notice

 

AQUILA EUROPEAN RENEWABLES INCOME FUND PLC

122,902,772

ORDINARY SHARES OF EUR0.01 EACH, FULLY PAID

(BK6RLF6)(GB00BK6RLF66)

 

COVENTRY BUILDING SOCIETY

GBP25,000,000

1.000% SENIOR PREFERRED NOTES DUE 21/09/2025 FULLY PAID (REPRESENTED BY NOTES  TO BEARER OF GBP100,000 EACH AND INTEGRAL MULTIPLES OF GBP1,000 IN EXCESS THEREOF UP TO AND INCLUDING GBP199,000)

(BMC44X4)(XS2233154454)

 

DB ETC PLC

38,000

XTRACKERS PHYSICAL GOLD ETC SECURITIES DUE 15/06/2060, FULLY PAID

(B5840F3)(GB00B5840F36)

4,885

XTRACKERS PHYSICAL PALLADIUM ETC SECURITIES DUE 14/07/2060, FULLY PAID

(B5VYVZ7)(GB00B5VYVZ75)

 

GOLD BULLION SECURITIES LD

24,000

GOLD BULLION SECURITIES

(B00FHZ8)(GB00B00FHZ82)

 

HANETF ICAV

1,010,100

Digital Infrastructure & Connectivity UCITS ETF - Accumulating Share Class USD

(BJP4Y29)(IE00BL643144)

756,569

Digital Infrastructure & Connectivity UCITS ETF - Accumulating Share Class GBX

(BJP4Y18)(IE00BL643144)

 

HEATHROW FUNDING LIMITED

GBP450,000,000

Sub-Class A-50 2.750%  Bonds due 13/10/2031 fully paid (Registered in denominations of GBP100,000 each and integral multiples of GBP1,000 in excess thereof up to and including GBP199,000)

(BN77QK6)(XS2243322976)

 

HSBC BANK PLC

250,000

Market Access Notes linked to ordinary shares issued by EMIRATES TELECOM ORD SHS AED 1.00 due 18/10/2021 fully paid (Registered in denominations of USD4.60 each)

(BLPK3S0)(XS2244029455)

 

INTERNATIONAL FINANCE CORPORATION

GBP1,000,000,000

0.250% Notes due 15/12/2025 fully paid (Registered in denominations of GBP1,000 each)

(BKS9K42)(XS2243329807)

 

INVESCO PHYSICAL MARKETS PUBLIC LIMITED COMPANY

193,000

INVESCO PHYSICAL GOLD ETC CERTIFICATES, FULLY PAID

(B599TV6)(IE00B579F325)

 

ISHARES PHYSICAL METALS PLC

364,000

ISHARES PHYSICAL GOLD ETC FULLY PAID USD

(B4ND360)(IE00B4ND3602)

2,506,900

ISHARES SILVER ETC FULLY PAID USD

(B4NCWG0)(IE00B4NCWG09)

250,000

ISHARES PHYSICAL PLATINUM FULLY PAID USD

(B4LHWP6)(IE00B4LHWP62)

 

LEVERAGE SHARES PUBLIC LIMITED COMPANY

45,000

LEVERAGE SHARES -1X TESLA ETP SECURITIES DUE 04/06/2070, FULLY PAID

(BKT6ZH0)(IE00BKT6ZH01)

 

WISDOMTREE COMMODITY SECURITIES LIMITED

5,000

WISDOMTREE WHEAT 2X DAILY LEVERAGED FULLY PAID

(BDD9QC8)(JE00BDD9QC84)

69,600

WISDOMTREE NATURAL GAS 2X DAILY LEVERAGE FULLY PAID

(BDD9Q95)(JE00BDD9Q956)

11,800

WISDOMTREE WHEAT 3X DAILY LEVERAGED FULLY PAID

(BYQY810)(JE00BYQY8102)

2,000

ETFS 3X DAILY LONG NICKEL FULLY PAID

(BYQY5X1)(JE00BYQY5X15)

30,400

ETFS 3X DAILY SHORT NICKEL FULLY PAID

(BYQY5Q4)(JE00BYQY5Q48)

1,900

WISDOMTREE BRENT CRUDE OIL 1X DAILY SHORT FULLY PAID

(B78DPL5)(JE00B78DPL57)

32,300

WISDOMTREE SILVER 1X DAILY SHORT FULLY PAID

(B24DKK8)(JE00B24DKK82)

100

WISDOMTREE NATURAL GAS 1X DAILY SHORT FULLY PAID

(B24DKH5)(JE00B24DKH53)

5,400

WISDOMTREE WTI CRUDE OIL 1X DAILY SHORT FULLY PAID

(B24DK97)(JE00B24DK975)

142,100

WISDOMTREE CORN 2X DAILY LEVERAGED FULLY PAID

(B2NFTG4)(JE00B2NFTG43)

14,200

ETFS 2X DAILY LONG COPPER FULLY PAID

(B2NFTF3)(JE00B2NFTF36)

236,600

WISDOMTREE COFFEE 2X DAILY LEVERAGED FULLY PAID

(B2NFTD1)(JE00B2NFTD12)

8,800

WISDOMTREE SOYBEANS CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD2.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE SOYBEANS INDIVIDUAL SECURITIES) FULLY PAID

(B15KY54)(GB00B15KY542)

31,700

WISDOMTREE SILVER CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD2.00 IN PRINCIPAL AMOUNT EACH (ETFS SILVER INDIVIDUAL SECURITIES) FULLY PAID   

(B15KY32)(GB00B15KY328)

183,000

WISDOMTREE NICKEL CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD2.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE NICKEL INDIVIDUAL SECURITIES) FULLY PAID

(B15KY21)(GB00B15KY211)

452,833,000

WISDOMTREE NATURAL GAS SECURITIES FULLY PAID

(B15KY10)(GB00B15KY104)

20,000

WISDOMTREE INDUSTRIAL METALS CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD1.8078250 IN PRINCIPAL AMOUNT EACH (WISDOMTREE INDUSTRIAL METALS INDEX SECURITIES) FULLY PAID

(B15KYG5)(GB00B15KYG56)

258,000

WISDOMTREE WTI CRUDE OIL CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD5.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE WTI CRUDE OIL INDIVIDUAL SECURITIES) FULLY PAID

(B15KXV3)(GB00B15KXV33)

3,278,900

WISDOMTREE WHEAT CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD0.25 IN PRINCIPAL AMOUNT EACH (WISDOMTREE WHEAT INDIVIDUAL SECURITIES) FULLY PAID   

(B15KY76)(GB00B15KY765)

2,440,900

WISDOMTREE CORN CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD0.25 IN PRINCIPAL AMOUNT EACH (WISDOMTREE CORN INDIVIDUAL SECURITIES), FULLY PAID

(B15KXS0)(GB00B15KXS04)

405,320

WISDOMTREE COPPER CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD3.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE COPPER INDIVIDUAL SECURITIES) FULLY PAID

(B15KXQ8)(GB00B15KXQ89)

837,300

WISDOMTREE COFFEE CLASS UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD0.50 IN PRINCIPAL AMOUNT EACH (ETFS COFFEE INDIVIDUAL SECURITIES) FULLY PAID 

(B15KXP7)(GB00B15KXP72)

159,000

WISDOMTREE ALUMINIUM UNDATED LIMITED RECOURSE SECURED DEBT SECURITIES OF USD1.00 IN PRINCIPAL AMOUNT EACH (WISDOMTREE ALUMINIUM INDIVIDUAL SECURITIES) FULLY PAID

(B15KXN5)(GB00B15KXN58)

10,000

WISDOMTREE ALL COMMODITIES £ FULLY PAID

(B15KY98)(GB00B15KY989)

67,000

WISDOMTREE AGRICULTURE FULLY PAID    

(B15KYH6)(GB00B15KYH63)

 

WISDOMTREE HEDGED METAL SECURITIES LIMITED

10,050,000

WISDOMTREE PHYSICAL GOLD - GBP DAILY HEDGED FULLY PAID

(B7VG2M1)(JE00B7VG2M16)

 

WISDOMTREE METAL SECURITIES LIMITED

6,500

PHYSICAL PLATINUM SECURITIES FULLY PAID

(B1VS2W5)(JE00B1VS2W53)

300,000

PHYSICAL SILVER SECURITIES FULLY PAID

(B1VS333)(JE00B1VS3333)

20,000

WISDOMTREE PHYSICAL GOLD SECURITIES, FULLY PAID

(B1VS377)(JE00B1VS3770)

 

WISDOMTREE MULTI ASSET ISSUER PUBLIC LIMITED COMPANY

250,000,000

WISDOMTREE S&P 500 VIX SHORT-TERM FUTURES 2.25X DAILY LEVERAGED DUE 30/11/2062 FULLY PAID

(BYY8LN7)(IE00BYTYHQ58)

550,000

WISDOMTREE S&P 500 3X DAILY SHORT DUE 30/11/2062 FULLY PAID

(B8K7KM8)(IE00B8K7KM88)

2,026,000

WISDOMTREE BRENT CRUDE OIL 3X DAILY SHORT DUE 30/11/2062 FULLY PAID

(BDB6P24)(IE00BYTYHR65)

212,000

WISDOMTREE SILVER 3X DAILY LEVERAGED DUE 30/11/2062, FULLY PAID

(B7XD219)(IE00B7XD2195)

 

XTRACKERS ETC PUBLIC LIMITED COMPANY

50,000

XTRACKERS IE PHYSICAL GOLD ETC SECURITIES DUE 23/04/2080 FULLY PAID

(BLQ0NB2)(DE000A2T0VU5)

 

YAMANA GOLD INC.

952,598,712

COMMON SHARES OF NO PAR VALUE FULLY PAID (CDI)

(3388349)(CA98462Y1007)

 

YORKSHIRE BUILDING SOCIETY

EUR500,000,000

0.010% Series 16 Covered Bonds due 13/10/2028 fully paid (Represented by bonds to bearer of EUR100,000 each and integral multiples of EUR1,000 in excess thereof up to and including EUR199,000)

(BN72225)(XS2243314528)

 

AMENDMENT

 

Following a Consolidation the following security has been amended:

 

SAGA PLC


ORDINARY SHARES OF 1P EACH FULLY PAID

(BLT1Y08)(GB00BLT1Y088)

 

This should appear as:

 

SAGA PLC

 

ORDINARY SHARES OF 15P EACH FULLY PAID

(BMX64W8)(GB00BMX64W89)

 

AMENDMENT

 

Following a Substitution of Issuer the following security has been amended:

 

COMMERZBANK AG


AUTOCALLABLE NOTES LINKED TO SERIES 122 PREFERENCE SHARE DUE 24/05/2023 FULLY PAID; REPRESENTED BY NOTES TO BEARER OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP 1 IN EXCESS THEREOF UP TO AND INCLUDING GBP 1,999)

(BD981Q8)(XS1587877843)


AUTOCALLABLE NOTES LINKED TO SERIES 125 PREFERENCE SHARE DUE 13/09/2023; FULLY PAID; (REPRESENTED BY NOTES TO BEARER OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BYV44K6)(XS1657666019)


AUTOCALLABLE NOTES DUE 14/11/2023 FULLY PAID; (REPRESENTED BY NOTES TO BEARER OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP 1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BF5TRR2)(XS1641257933)


AUTOCALLABLE NOTES DUE 24/01/2024 FULLY PAID; (REPRESENTED BY NOTES TO BEARER OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BF0QD36)(XS1724626186)


AUTOCALLABLE NOTES LINKED TO SERIES 104 PREFERENCE SHARE DUE 09/06/2021; FULLY PAID; (REGISTERED IN DENOMINATIONS OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BWX60J7)(GB00BWX60J70)


AUTOCALLABLE NOTES LINKED TO SERIES 107 PREFERENCE SHARE DUE 15/07/2021 FULLY PAID (REGISTERED IN DENOMINATIONS OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BWVFY16)(GB00BWVFY161)


AUTOCALLABLE NOTES DUE 11/06/2021; FULLY PAID; (REGISTERED IN DENOMINATIONS OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BWH5YN2)(GB00BWH5YN21)


AUTOCALLABLE NOTES DUE 15/09/2021; FULLY PAID; (REGISTERED IN DENOMINATIONS OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BZ051L7)(GB00BZ051L74)

 

This should appear as:

 

Société Générale Effekten GmbH


AUTOCALLABLE NOTES LINKED TO SERIES 122 PREFERENCE SHARE DUE 24/05/2023 FULLY PAID; REPRESENTED BY NOTES TO BEARER OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP 1 IN EXCESS THEREOF UP TO AND INCLUDING GBP 1,999)

(BD981Q8)(XS1587877843)


AUTOCALLABLE NOTES LINKED TO SERIES 125 PREFERENCE SHARE DUE 13/09/2023; FULLY PAID; (REPRESENTED BY NOTES TO BEARER OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BYV44K6)(XS1657666019)


AUTOCALLABLE NOTES DUE 14/11/2023 FULLY PAID; (REPRESENTED BY NOTES TO BEARER OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP 1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BF5TRR2)(XS1641257933)


AUTOCALLABLE NOTES DUE 24/01/2024 FULLY PAID; (REPRESENTED BY NOTES TO BEARER OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BF0QD36)(XS1724626186)


AUTOCALLABLE NOTES LINKED TO SERIES 104 PREFERENCE SHARE DUE 09/06/2021; FULLY PAID; (REGISTERED IN DENOMINATIONS OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BWX60J7)(GB00BWX60J70)


AUTOCALLABLE NOTES LINKED TO SERIES 107 PREFERENCE SHARE DUE 15/07/2021 FULLY PAID (REGISTERED IN DENOMINATIONS OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BWVFY16)(GB00BWVFY161)


AUTOCALLABLE NOTES DUE 11/06/2021; FULLY PAID; (REGISTERED IN DENOMINATIONS OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BWH5YN2)(GB00BWH5YN21)


AUTOCALLABLE NOTES DUE 15/09/2021; FULLY PAID; (REGISTERED IN DENOMINATIONS OF GBP1,000 EACH AND INTEGRAL MULTIPLES OF GBP1 IN EXCESS THEREOF UP TO AND INCLUDING GBP1,999)

(BZ051L7)(GB00BZ051L74)

 

If you have any queries relating to the above, please contact Market Operations at the LSE on 020 7797 4310.

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