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.
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 |
|
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 |
|
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 |
|
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 |
|
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 |
Â
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 |
|
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 |
|
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 |
|