€15,000,000,000 Global Medium Term Note Programme - 2008 Update, June 23, 2008
Offering Circular, dated June 23, 2008
Amended and Restated Programme Agreement, dated June 23, 2008, by and among the Issuer and the Dealers
Amended and Restated Agency Agreement, dated June 23, 2008, by and among the Issuer, the Agent and The Bank of New York (Luxembourg), S.A.
Operating & Administrative Procedures Memorandum, dated June 23, 2008
$10,000,000,000 U.S. Medium Term Note Program – 2008 Update, April 23, 2008
Offering Circular, dated April 23, 2008
Amended and Restated Distribution Agreement, dated April 23, 2008, by and among the Issuer and the dealers named therein
Amended and Restated Fiscal and Paying Agency Agreement, dated April 23, 2008, by and among the Issuer, Deutsche Bank Trust Company Americas, as fiscal and paying agent, and Deutsche Bank Luxembourg S.A., as paying agent
Amended and Restated Calculation Agency Agreement, dated April 23, 2008, by and between the Issuer and Deutsche Bank Trust Company Americas, as calculation agent.
U.S. $500,000,000 Extendable Short Term Notes, April 20, 2007
Offering Circular, dated April 13, 2007
Dealer Agreement, dated July 20, 2005, by and among the Issuer and the dealers named therein
First Supplemental Dealer Agreement, dated March 9, 2007, by and among the Issuer and Banc of America Securities LLC and Morgan Stanley & Co. Incorporated (the "Dealers")
Second Supplemental Dealer Agreement, dated April 13, 2007, by and among the Issuer and the Dealers
Issuing and Paying Agent Agreement, dated July 20, 2005, by and between the Issuer and Deutsche Bank Trust Company Americas, as Issuing and Paying Agent and Calculation Agent ("Deutsche Bank")
First Supplemental Issuing and Paying Agent Agreement, by and between the Issuer and Deutsche Bank, dated April 20, 2007
$250,000,000 7.451% Non-Cumulative Undated Capital Notes, September 14, 2006
Final Offering Circular, dated September 11, 2006
Terms Communication, dated September 11, 2006
Fiscal Agency Agreement, dated September 14, 2006, among Glitnir, JPMorgan Chase Bank, N.A., (the "Fiscal Agent") and J.P. Morgan Bank Luxembourg S.A.
Calculation Agency Agreement, dated September 14, 2006, between Glitnir, and JPMorgan Chase Bank, N.A., as Calculation Agent
A$1,500,000,000 Debt Issuance Programme, April 19, 2005
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