Corporate Debt Securities

Class/CouponCSX TickerCurrencyMaturity
Up to US$200,000,000 13.75 Per Cent Notes due 31 December 2018 USD 31-12-2018
Class/CouponCSX TickerCurrencyMaturity
loan notes due 2021 USD 30-09-2021
Class/CouponCSX TickerCurrencyMaturity
6.75 per cent. notes due 2025 GBP 28-01-2025
Class/CouponCSX TickerCurrencyMaturity
Fixed Rate Unsecured Loan Notes due 2021 GBP 01-04-2021
Class/CouponCSX TickerCurrencyMaturity
Fixed Rate Unsecured Loan Notes due 31 December 2023 GBP 31-12-2023
Class/CouponCSX TickerCurrencyMaturity
5% Fixed Rate Unsecured PIK Notes GBP 30-04-2018
Class/CouponCSX TickerCurrencyMaturity
Loan Notes due 31 October 2018 GBP 31-10-2018
Class/CouponCSX TickerCurrencyMaturity
Ten per cent. Notes due 2017 GBP 12-10-2017
Class/CouponCSX TickerCurrencyMaturity
12% Investor Loan Notes 2019 GBP 25-10-2019
Class/CouponCSX TickerCurrencyMaturity
EUR2,000,000,000 Note EUR 01-01-2031
EUR2,000,000,000 Note EUR 01-01-2031
Class/CouponCSX TickerCurrencyMaturity
Notes, Libor + 4.00 Percent due 2019 GBP 28-02-2019
Class/CouponCSX TickerCurrencyMaturity
GBP309,672,000 9.95 per cent. Notes due 2031 GBP 30-06-2031
Class/CouponCSX TickerCurrencyMaturity
US$775,000,000 Promissory Note USD 12-01-2020
Class/CouponCSX TickerCurrencyMaturity
15 per cent. Unsecured Fixed Rate Series D Loan Notes due 2020 GBP 14-09-2020
Class/CouponCSX TickerCurrencyMaturity
EURO Loan notes due 2025 EUR 31-07-2025
GBP loan notes due 2025 GBP 14-10-2025
Class/CouponCSX TickerCurrencyMaturity
$290,000,000 6 per cent. notes due 2021 USD 18-05-2021
Class/CouponCSX TickerCurrencyMaturity
USD Notes Fixed Rate Unsecured Loan Notes 2017 USD 31-12-2017
Class/CouponCSX TickerCurrencyMaturity
Senior secured UK term notes due 2018 USD 30-01-2018
Class/CouponCSX TickerCurrencyMaturity
US$500,000,000 Fixed Rate Loan Note due 2017 USD 31-12-2017
Floating rate loan notes due 2017 USD 31-12-2017
Class/CouponCSX TickerCurrencyMaturity
8 per cent. fixed rate unsecured funding notes 2026 GBP 08-07-2026
Class/CouponCSX TickerCurrencyMaturity
£438,294,409 7.2 per cent. Notes due 28 January 2021 GBP 28-01-2021
Class/CouponCSX TickerCurrencyMaturity
12% Fixed Rate Notes due 2020 GBP 10-11-2020
Class/CouponCSX TickerCurrencyMaturity
£11,440,000 9% Fixed Rate Notes due 2020 GBP 30-09-2020
Class/CouponCSX TickerCurrencyMaturity
Unsecured Loan Notes due 2024 EUR 13-12-2024
Unsecured Loan Notes due 2024 EUR 13-12-2024
Class/CouponCSX TickerCurrencyMaturity
Unsecured Loan Notes due 2024 USD 13-12-2024
Class/CouponCSX TickerCurrencyMaturity
£59,373,045 Notes due 31 December 2017 GBP 31-12-2017
Class/CouponCSX TickerCurrencyMaturity
Up to AUD108,907,780 unsecured 6.75% bonds due 2018 AUD 31-10-2018
Class/CouponCSX TickerCurrencyMaturity
GBP70,000,000 8% Notes due 2 October 2022 GBP 02-10-2022
Class/CouponCSX TickerCurrencyMaturity
Fixed rate 7% corporate bonds due 2021 GBP 30-06-2021
Class/CouponCSX TickerCurrencyMaturity
4.5 per cent. Fixed Rate Notes due 2021 USD 20-12-2021
Class/CouponCSX TickerCurrencyMaturity
£300,000,000 Notes 5.12 per cent. due 16 December 2019 GBP 16-12-2019
Class/CouponCSX TickerCurrencyMaturity
£1,300,000,000.00 5.25 per cent. Notes due 29 April 2023 GBP 29-04-2023
Class/CouponCSX TickerCurrencyMaturity
Subordinated Fixed Rate Notes due 2024 GBP 17-10-2024
Class/CouponCSX TickerCurrencyMaturity
15 per cent. Unsecured Subordinated Redeemable Loan Notes 2023 GBP 31-03-2023
Class/CouponCSX TickerCurrencyMaturity
8.625 per cent. Notes due 1 July 2019 USD 01-07-2019
Class/CouponCSX TickerCurrencyMaturity
US$44,546,900 Unsecured Loan dated 20 November 2020 USD 20-11-2020
Class/CouponCSX TickerCurrencyMaturity
5.50% Senior Notes due 2032 USD 30-03-2032
Class/CouponCSX TickerCurrencyMaturity
Secured 5.44% A Notes due 2020 GBP 31-12-2020
Secured 7.19% B Notes due 2020 GBP 31-12-2020
Secured 12.94% C Notes due 2020 GBP 31-12-2020
Class/CouponCSX TickerCurrencyMaturity
Series A2 12% fixed rate secured loan notes 2021 GBP 31-12-2021
Class/CouponCSX TickerCurrencyMaturity
US$525,000,000 12.0 per cent notes due 2034 USD 23-06-2034
Class/CouponCSX TickerCurrencyMaturity
Guaranteed 3.57% Fixed Rate Loan Notes due 2026 USD 01-09-2026
Class/CouponCSX TickerCurrencyMaturity
4.5 per cent. Notes due 2023 GBP 16-12-2023
Class/CouponCSX TickerCurrencyMaturity
Unsecured Loan Notes due 2024 USD 13-12-2024
Class/CouponCSX TickerCurrencyMaturity
USD 2,200,000,000 5.27 percent Notes due 2027 USD 23-03-2027
Class/CouponCSX TickerCurrencyMaturity
B1 Notes B1 secured loan notes 2026 GBP 01-04-2026
B2 Notes B2 secured loan notes 2026 GBP 01-04-2026
A1 Notes A1 secured loan notes 2026 GBP 01-04-2026
A2 Notes A2 secured loan notes 2026 GBP 01-04-2026
Class/CouponCSX TickerCurrencyMaturity
Loan Notes USD 20-06-2018
Class/CouponCSX TickerCurrencyMaturity
7.175 per cent. Unsecured Loan Notes due 2046 GBP 31-03-2046
Class/CouponCSX TickerCurrencyMaturity
Up to US$1,200,000,000 Promissory Note USD 01-02-2020
Class/CouponCSX TickerCurrencyMaturity
GBP95,000,000 8% Bond due 2017 GBP 12-11-2017
Class/CouponCSX TickerCurrencyMaturity
5% fixed rate unsecured notes due 25 June 2029 GBP 25-06-2029
Class/CouponCSX TickerCurrencyMaturity
Fixed Rate Unsecured Loan Notes due 1 July 2023 USD 01-07-2023
Class/CouponCSX TickerCurrencyMaturity
8.5% Subordinated Redeemable Convertible Bonds due 2021 EUR 07-12-2021
Class/CouponCSX TickerCurrencyMaturity
Fixed Rate A3 Secured Loan Notes 2024 GBP 29-04-2017
Class/CouponCSX TickerCurrencyMaturity
Loan Notes due 2021 USD 15-12-2021
Class/CouponCSX TickerCurrencyMaturity
Variable rate secured guaranteed term loan notes 2023 GBP 09-11-2023
Class/CouponCSX TickerCurrencyMaturity
Floating Rate Loan Notes due 2021 USD 21-02-2021
Class/CouponCSX TickerCurrencyMaturity
Note Issue GBP 31-03-2038
Class/CouponCSX TickerCurrencyMaturity
Senior Notes due 2021 USD 19-07-2021
Senior Notes due 2022 USD 15-07-2022
Class/CouponCSX TickerCurrencyMaturity
$50,000,000 7 per cent Guaranteed Bonds due 2018 USD 12-06-2018
Class/CouponCSX TickerCurrencyMaturity
£100,000,000 Loan Notes GBP
Class/CouponCSX TickerCurrencyMaturity
Unsecured Loan Notes USD 31-12-2020
Unsecured Loan Notes USD 31-12-2023
Class/CouponCSX TickerCurrencyMaturity
GBP125,811,955 6,68 per cent Notes Due 2018 GBP 31-03-2018
Class/CouponCSX TickerCurrencyMaturity
Up to £114,881,000 floating rate notes due 2022 GBP 17-01-2022
Floating rate notes due 2024 GBP 17-01-2024
Floating rate notes due 2026 GBP 17-01-2026
Class/CouponCSX TickerCurrencyMaturity
US$1,100,000,000 Promissory Note USD 30-10-2018
Class/CouponCSX TickerCurrencyMaturity
5.25% Senior Notes due 2018 USD 11-10-2018
DescriptionCurrencyListedExpires
Medium Term Note Programme USD 28-03-2014 27-03-2019
DescriptionCurrencyListedExpires
Secured Guaranteed Note Programme GBP 23-09-2016 22-09-2021
DescriptionCurrencyListedExpires
Loan Note Instrument Programme USD 26-06-2015 26-06-2020
DescriptionCurrencyListedExpires
Loan Note Instrument Programme USD 26-06-2015 26-06-2020