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List of Selected Recent Bonds

 

Below is a list of bonds recently issued by the World Bank (IBRD). It is not a complete list, and is intended only to give examples of some of the types of bonds and structures that have recently been issued by the World Bank through the underwriters mentioned. Please note that some of the bonds listed include early termination and other structured provisions as described in the applicable Final Terms (or Pricing Supplement), and that some bonds may have already been terminated or matured. This information is provided only for general information purposes and does not constitute an offer to sell or a solicitation of an offer to buy any such bonds. All information should be read in conjunction with the appropriate Final Terms and any applicable supplement thereto. If you have any questions, please contact us at debtsecurities@worldbank.org.

Currency Volume Coupon or Type Launch Date Final Maturity Date Lead Manager/s ISIN Code Final Terms
USD
30 m
5.10%
7/20/09
7/20/39
DZ Bank
XS0439761684
USD
30 m
5.085%
7/20/09
7/20/39
HSBC
XS0439579458
USD
25 m
5.45%
6/24/09
6/24/39
DZ Bank
XS0434914403
USD
25 m
5.52%
6/24/09
6/24/39
HSBC
XS0434518717
USD
10 m
Callable Zero
6/24/09
6/24/39
Nomura
XS0434470687
USD
25 m
5.5%
6/22/09
6/22/39
HSBC
XS0433882312
USD
25 m
5.4%
6/16/09
6/16//39
Citibank
XS0432969227
TRY
20 m
16%
5/27/09
2/28/12
TD Securities
XS0288288292
CHF
425 m
2.75%
5/5/09
5/7/19
Credit Suisse, UBS
CH0100128385
USD
6 b
2%
4/2/09
4/2/12

Citibank, HSBC,

JP Morgan,

The Royal Bank of Scotland

US459058AH67
USD
3 b
Floating Rate
3/5/09
3/4/11

Citibank, HSBC,

Morgan Stanley,

The Royal Bank of Scotland

US45905UGA60
USD
20 m
Currency Exchange Rate Linked
10/20/08
5/6/10
Societe Generale
XS0395969891
RON
150 m
9.25%
10/3/08
10/8/10

RBS,

TD Securities

XS0392046149
US
1.5 b
3.5%
10/1/08
10/8/13

JP Morgan,

Morgan Standley,

Goldman Sachs

US459056HM24
ZAR
150 m
10%
8/6/08
8/13/10
TD Securities
XS0382762713
ZAR
150 m
8.5
8/6/08
8/13/10
TD Securities
XS0382763109
BRL
100 m
12.25%
7/21/08
8/4/10
JP Morgan
XS0379219719
ZAR
750 m
12%
7/14/08
2/10/10
JP Morgan
XS0377243943
TRY
100 m
19%
7/7/08
7/21/10
TD Securities
XS0375986071
CLP
25 b
6.75%
7/3/08
7/1/11
JP Morgan
XS0375649828
RUB
600 m
8%
6/18/08
7/10/14
Deutsche Bank
XS0372437441
BRL
50 m
11%
6/4/08
6/16/11
TD Securities
XS0369440135
USD
20 m
Callable Zero
6/3/08
6/16/38
Morgan Standley
XS0369439632
UYU
1.98 b
3.4%
5/28/08
4/15/17
Deutsche Bank
US45905UFW99
ISK
8 b
9.5%
5/19/08
5/27/10
TD Securities
XS0366015153
RUB
1.5 b
6.75%
5/8/08
5/27/11
TD Securities
XS0364160688
USD
50 m
Linked to a Basket of Equity Indices
5/5/08
5/16/18
Societe Generale
XS0363722579
ZAR
500 m
11%
4/29/08
11/10/11
Deutsche Bank
XS0362287764
USD
200 m
Callable Zero
4/18/08
5/6/38
Morgan Stanley
XS0360569163
PLN
50 m
5.5%
3/03/08
3/10/10
TD Securities
XS0351472419
EUR
27.5 m
Eco 3-Plus
2/15/08
2/24/14
ABN Amro
XS0339581612
ZAR
500 m
10.5%
1/17/08
7/29/09
ABN Amro
XS0342164109
TRY
100 m
14%
1/16/08
2/1/11
TD Securities
XS0341735164
BRL
50 m
11%
1/15/08
1/29/18

ABN Amro,

The Royal Bank of Scotland

XS0341634649
GBP
350 m
4.5%
1/15/08
1/25/10

The Royal Bank of Scotland,

UBS

XS0341457090
USD
10 m
Callable Zero
1/11/08
1/28/38
Morgan Stanley
XS0341063559
BRL
100 m
10.25%
1/10/08
1/25/10
TD Securities
XS0340462471
BRL
65 m
9%
12/06/07
12/14/09
ABN Amro
XS0335860788
USD
500 m
3.375%
11/29/07
12/10/10
JP Morgan
US459058AB97
CAD
850 m
4.3%
11/20/07
12/15/12

HSBC,

TD Securities

CA459058AA17
COP
100 b
8.5%
11/1/07
11/8/10
JP Morgan
XS0329765068
USD
150 m
4.125%
11/1/07
6/24/09
Morgan Stanley
US459056QS92
EUR
230 m
Eco 3-Plus
10/29/07
11/8/13
ABN Amro
NL0000694321
USD
10 m
Callable Fixed/ CMS-Linked
10/22/07
11/21/22
Morgan Stanley
US45905UFK5I
HUF
10 b
6.25%
10/1/09
10/9/09
TD Securities
XS0324470318
ZAR
300 m
10%
9/27/07
5/12/09
Deutsche Bank
XS0319375407
TRY
75 m
15.25%
9/17/07
4/3/09
TD Securities
XS0322214080
USD
10 m
Callable CMS-Linked
9/13/07
9/26/22
Morgan Stanley
US459056HL41
MXN
750 m
Zero Coupon
9/5/07
19/9/22
RBC Capital Markets
XS0320606840
ZAR
400 m
10%
8/29/07
5/12/09
Deutsche Bank
XS0319375407
ISK
3 b
12.25%
8/29/07
5/12/09
Deutsche Bank
XS0319375316
USD
10 m
Callable Accrual
8/3/07
8/22/22
Morgan Stanley
US459057AB15
NZD
350 m
7.5%
7/20/07
7/30/14

ANZ Institutional,

TD Securities

NZIBDDT001C9
ZAR
2 b
9.75%
7/19/07
8/2/10

TD Securities,

JP Morgan

XS0313074220
TRY
50 m
17.75%
7/12/07
7/30/08
RBC Capital Markets
XS0311745037
MYR
70 m
2.75%
7/6/07
7/6/10
TD Securities
XS0310441117
BRL
50 m
9%
6/22/07
6/22/10
TD Securities
XS0308401271
EUR
1.5 b
4.25%
5/22/07
6/1/07

ABN Amro,

Deutsche Bank,

HSBC

XS0302719553
ISK
2 b
11.5%
4/26/07
5/11/09

ABN Amro,

UBS Investment Bank

XS0299182526
ISK
2 b
10%
4/26/07
5/11/10

ABN Amro,

UBS Investment Bank

XS0299182872
ISK
2 b
9.25%
4/26/07
5/11/11

ABN Amro,

UBS Investment Bank

XS0299183417
TRY
500 m
13.625%
4/25/07
5/9/17

ABN Amro,

JP Morgan,

TD Securities

XS0299049527
BRL
75 m
9.5%
4/16/07
4/27/09
ABN Amro
XS0297056409
MXN
500 m
7.5%
4/3/07
4/17/12
Deutsche Bank
XS0295406671
MXN
500 m
7.25%
3/1/07
3/13/09
TD Securities
XS0290418572
TRY
50 m
18.25%
3/1/07
2/6/09
TD Securities
XS0296556342
TRY
100 m
16%
2/15/07
2/28/12
TD Securities
XS0288288292
TRY
100 m
17.625%
2/9/07
2/19/10
UBS Investment Bank
XS0287560469
ZAR
250 m
8.5%
1/10/07
12/18/08
Deutsche Bank
XS0282630408
AUD
500 m
6%
10/25/06
11/9/16

ABN Amro Westpac

AU3CB0006849
USD
10 m
Callable Zero Coupon
9/8/06
9/22/36
Morgan Stanley
XS0267980604
USD
1 b
5 %
3/22/06
4/1/16

Goldman Sachs,

Morgan Stanley

US4590568Y65
USD
10 m
Callable Accrual
3/15/06
4/12/21
Morgan Stanley
US45905UEY64
MXN
2 b
7.56 %
3/3/06
3/10/11

Banco Bilbao

Vizcaya Argentaria,

Goldman Sachs

XS0247207565
NZD
200 m
6.375 %
2/13/06
7/15/09
RBC Capital Markets
XS0244793401
TRY
50 m
12 %
2/8/06
8/22/07

Lehman Brothers

International (Europe)

XS0244400874
TRY
75 m
11.25 %
12/14/05
1/4/08
TD Securities
XS0239015018
ISK
3 b
8 %
10/26/05
11/9/07
TD Securities
XS0234166386
EUR
30 m
Callable Fixed
10/19/05
10/24/35
Morgan Stanley
XS0230959123
TRY
75 m
12 %
10/13/05
11/7/07
TD Securities
XS0233140531
TRY
100 m
13.125%
3/15/05
4/25/07
Fortis Bank
XS0215653931
USD
10 m
 
Callable Accrual
3/9/05
4/13/20
Morgan Stanley
US45905UEH32
USD
25 m
Callable Fixed /CMS-Linked
2/4/05
3/4/20
Morgan Stanley
US45905UEE01
BRL
210 m
0% FX-linked
2/10/05
2/23/07
Barclays Capital
XS0213064529
USD
750 m
4.75%
1/31/05
2/15/35
JP Morgan,
Morgan Stanley
US45905CAA27
TRY
70 m
15 %
12/23/04
1/7/10
JP Morgan
XS0209283794
USD
10.4 m
Equity-linked
11/9/04
11/26/11
Deutsche Bank Securities
US45905UED28
HUF
13 b
8.75 %
9/8/04
9/22/06
Deutsche Bank
XS0201121828
USD
1 b
4.125 %
6/10/04
6/24/09

Citigroup,

Daiwa Securities

SMBC,

Morgan Stanley

US459056QS92
HUF
13 b
9 %
5/18/04
12/16/05
Deutsche Bank
XS0193197174
ZAR
250 m
9.5%
5/5/04
5/21/07
RBC Capital Markets
XS0192450632
USD
50 m
Callable Fixed Rate
4/20/04
5/11/07
HSBC
XS0191359420
USD
13 m
Callable Accrual
4/2/04
4/15/19
Morgan Stanley
US45905UDP66
USD
25 m
Callable Fixed Rate Step-up
4/1/04
4/29/09
Morgan Stanley
US45905UDN19
USD
100 m
Callable 5.19%
3/31/04
4/15/19
Goldman Sachs
US459056QR10
COP
535.6 b
CPI-linked
3/31/04
4/15/19
ABN Amro
N/A
USD
30 m
Callable Fixed Rate Step-up
2/4/04
3/3/11
Morgan Stanley
US45905UDM36
USD
50 m
Callable Floating Rate
12/17/03
12/17/10
Credit Suisse First Boston
US45905UDK79
HUF
14 b
10%
12/15/03
8/15/05
TD Securities
XS0182271691
USD
35 m
Fixed/Index- linked
11/19/03
12/10/13
Morgan Stanley
US45905UDJ07
EUR
50 m
Fixed/Index linked
10/31/03
12/2/15

Morgan Stanley

& Banca Akros S.p.A

XS0180039611
USD
15 m
Callable Fixed/Floating
10/29/03
11/24/15
Morgan Stanley
US45905UDH41
USD
100 m
Callable Fixed Rate Step-up
8/25/03
9/8/08
Wachovia
XS0175832392
USD
15 m
Redeemable Fixed/Reverse Floating 
8/26/03
9/23/13
Morgan Stanley
US45905UDG67
USD
39.331m
Redeemable Fixed/Reverse Floating 
8/13/03
9/10/15
Morgan Stanley
US45905UDF84
USD
20 m
Callable Floating
8/12/03
9/3/13

Credit Suisse

First Boston

US45905UDE10
USD
30 m
Callable 7.30%
8/1/03
8/15/33
Morgan Stanley
XS0174308667
USD
20 m
Callable 6.95%
7/29/03
8/15/33
UBS Limited
XS0174072107
USD
65 m
Callable Floating
7/24/03
8/13/13
Morgan Stanley
US45905UDD37
USD
25 m
Callable Floating
7/18/03
8/13/18
Morgan Stanley
US45905UDB70
CAD
27.5m
0.5%
7/25/03
12/20/18
RBC
XS0173811059
USD
158 m
0%
7/15/03
8/5/33
Credit Suisse First Boston
XS0173183731
USD
25 m
Callable Floating
7/14/03
8/13/18
Morgan Stanley
US45905UCY82
USD
20 m
Callable Floating Capped
7/8/03
7/29/13
FTN Financial
US45905UDA97
USD
50 m
Callable 1.83%
7/8/03
7/28/06
HSBC
XS0172651563
HUF
5 b
6.25%
7/2/03
1/27/05
TD Securities
XS0161040604
USD
50 m
Callable 2.62%
6/6/03
7/1/08
HSBC
XS0170497555
USD
100 m
Callable Fixed Step-up
6/4/03
7/3/13
Morgan Stanley
Prudential-Bache
US45905UCW27
USD
7 m
Callable Fixed Step-up
6/10/03
5/28/10
Morgan Stanley
US45905UCS15
USD
1 b
3.625%
5/13/03
5/21/13

Citigroup &

JP Morgan

US45905UCU60
USD
15 m
Callable Fixed/Floating
4/29/03
5/28/15
Morgan Stanley
US45905UCT97
USD
100 m
Callable Fixed Rate Step-up
4/29/03
5/28/10
Morgan Stanley
US45905UCSI5
USD
100 m
Callable 0%
4/15/03
5/6/23
Merrill Lynch International
XS0167431518
USD
20 m
Callable Fixed/Floating
4/11/03
5/14/18
Morgan Stanley
US45905UCR32
USD
100 m
Callable Fixed Step-up
3/12/03
4/9/10
Morgan Stanley
US45905UCQ58
EUR
100 m

Floating Index-linked

3/3/03
3/3/10

JP Morgan,

ABAXBANK S.p.A

XS0162728769
HUF
5 b
6.25%
2/19/03
1/27/05
TD Securities
XS0163295255
HUF
10 b
6.25%
1/27/03
1/27/05
TD Securities
XS0161040604
USD
25 m
Callable Fixed/Floating
12/10/02
12/10/12
Morgan Stanley
US45905UCN28

USD

45.6 m

Callable Floating

10/17/02

11/7/14

Morgan Stanley

US45905UCK88

USD

15 m

Callable Floating

10/17/02

11/7/14

Lehman Brothers

US45905UCL61

ZAR

150 m

12.5%

10/2/02

1/14/05

RBC Capital Markets

XS156020827

USD

25 m

Callable Fixed Step-up

9/24/02

10/22/07

Morgan Stanley

US45905UCJ16

ZAR

150 m

12%

9/10/02

3/26/04

TD Securities

XS0154775638

USD

200 m

Callable Fixed Step-up

8/8/02

9/4/09

Morgan Stanley

XS0153178412

EUR

100 m

Callable Fixed Step-up

8/8/02

9/4/08

Banca Akros,

Morgan Stanley,

Prudential-Bache

XS0153058606

USD

1 b

4.125%

8/5/02

8/12/09

Dresdner Bank, HSBC

US45905UCG76

USD

50 m

Floating

7/18/02

8/6/07

Morgan Stanley

XS015272414

USD

15 m

Callable Floating

7/16/02

8/13/07

Lehman Brothers

US45905UCD46

USD

20 m

Callable Floating

7/11/02

8/8/12

Lehman Brothers

US45905UCC62

USD

15 m

Callable Fixed Step-up

7/8/02

7/31/06

Morgan Stanley

US45905UCB89

USD

33 m

Callable Fixed Step-up

6/11/02

7/5/06

Morgan Stanley

US45905UBX19

USD

100 m

Callable Fixed Step-up

5/28/02

6/27/08

Morgan Stanley

US45905UBW36

USD

100 m

Callable Fixed Step-up

5/15/02

6/13/08

Morgan Stanley

XS0148385460

USD

30 m

Callable Fixed Step-up

4/15/02

4/10/08

Morgan Stanley

XS0145301007

ZAR

150 m

12.50%

4/9/02

5/14/12

Deutsche Bank

XS0146396915

ZAR

150 m

12%

3/13/02

3/26/04

RBC Capital Markets

XS0145099924

USD

200 m

Callable Fixed Step-up

3/13/02

4/10/08

Morgan Stanley

XS0145301007

BRL

80 m

0% Fixed Linked

3/8/02

4/4/05

Salomon Brothers

XS0144919882

USD

500 m

5.125%

2/27/02

3/13/09

Dresdner Bank

XS0144330072

USD

72 m

Callable 0%

2/22/02

3/11/22

Morgan Stanley

XS0144616801

ZAR

150 m

10.75%

2/20/02

12/12/07

TD Securities

XS0143949070

NOK

200 m

6%

2/18/02

2/7/05

Deutsche Bank

XS0137406400

PLN

100 m

8%

2/12/02

2/22/07

TD Securities

XS0143521390

USD

20 m

Callable 6.23

1/29/02

2/7/22

Bank of America

XS0142894020

USD

20 m

Callable Fixed

1/24/02

2/22/22

Schroder Salomon

Smith Barney

XS0142596278

USD

15 m

Floating

1/24/02

2/22/10

Morgan Stanley

XS0142633733

ZAR

150 m

10.75%

1/23/02

12/12/07

TD Securities

XS0142451110

HUF

10 b

7.75%

1/3/02

7/18/03

TD Securities

XS0141306083

USD

3 b

4%

1/2/02

1/10/05

Goldman Sachs,

SSB,

UBS Warburg

US459056QM23

USD

30 m

Floating

12/28/01

1/14/09

Morgan Stanley

XS0141015866

USD

250 m

5%

11/29/01

11/4/05

UBS Warburg

XS0091759893

PLN

100 m

10.25%

11/9/01

1/17/03

Caboto, TD Securities

XS0138883532

PLN

100 m

11%

10/18/01

10/30/02

RBC Dominion Securities,

UniCredit Banca Mobiliaire

XS0137835517

USD

3 b

3.5%

10/15/01

10/22/04

JP Morgan,

Morgan Stanley,

UBS Warburg

US459056QL40

NOK

400 m

6%

10/10/01

2/7/05

Deutsche Bank

XS0137406400

USD

3 b

4.375%

9/19/01

9/28/06

Goldman Sachs,

JP Morgan, SSB

US459056QK66

USD

75 m

Callable 0%

8/17/01

9/7/21

Credit Suisse

First Boston

XS0134724169

ZAR

50 m

10.5%

7/19/01

3/30/11

TD Securities

XS0126493807

USD

500 m

5.5%

7/16/01

4/17/06

Barclays, Nomura

XS0133049717

USD

250 m

5%

7/3/01

11/4/05

UBS Warburg

XS0091759893

ZAR

50 m

10.5%

6/29/01

3/30/11

TD Securities

XS0126493807

HUF

10 b

9.25%

6/25/01

7/5/02

Commerzbank,

TD Securities

XS0131952771

USD

200 m

5.1%

5/3/01

11/30/04

JP Morgan

XS0129234141

USD

1 b

4.75%

5/2/01

4/30/04

JP Morgan,

Merrill Lynch,

UBS Warburg

US459056QH38

USD

150 m

Callable 5.125%

5/1/01

5/21/04

Merrill Lynch

US459056QJ93

GBP

75 m

5.75%

4/26/01

6/7/32

RBC Dominion

Securities

XSOI 13708969

PLN

100 m

14.5%

4/26/01

5/10/02

TD Securities

XS0128944062

USD

3 b

4.75%

4/24/01

4/30/04

JP Morgan,

Merrill Lynch,

UBS Warburg

US459056QH38

ZAR

110 m

10.5%

4/23/01

5/25/11

RBC Dominion

Securities

XS0128677605

ZAR

100 m

10.5%

4/11/01

3/30/11

TD Securities

XS0126493807

USD

500 m

5%

3/29/01

3/28/06

HSBC,

Morgan Stanley,

UBS Warburg

US459056QG54

ZAR

100 m

10.5%

3/27/01

3/30/11

TD Securities

XS0126493807

ZAR

110 m

10.375%

3/26/01

3/29/11

RBC Dominion

Securities

XS0125895572

USD

3.5 b

5%

3/22/01

3/28/06

HSBC,

Morgan Stanley,

UBS Warburg

US459056QG54

USD

250 m

6%

3/20/01

3/22/07

Morgan Stanley

XS0126488633

USD

250 m

4.75%

3/13/01

11/5/03

Credit Suisse

First Boston

XS0092040590

PLN

100 m

17%

2/13/01

1/11/02

Morgan Stanley,

TD Securities

XS0122928301

PLN

1 b

10.625%

2/6/01

2/8/11

Morgan Stanley

US459056QF71

ZAR

150 m

11.25%

1/24/01

1/31/11

RBC Dominion

Securities

XS0122962078

GBP

50 m

5.75%

1/12/01

6/7/32

JP Morgan

XS0113708969

PLN

100 m

17%

1/9/01

1/11/02

Morgan Stanley,

TD Securities

XS0122928301