| Industry | Status | Date | Ticker(s) | issuer(s) | MO | SP | FI | Size (M) | Ranking | TNR | Call | MTY | Coupon | Leads | product | Region | |||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
FNCL | PRCD | Aug 17, 2026 | NWG | NatWest Markets PLC | A1 | A | AA | $500 | Sr. Unsecured | 5.00 | - | Aug-31 | SOFR+95 | IGC | EMEA | ||||
FNCL | PRCD | Aug 12, 2026 | NWG | NatWest Markets PLC | A1 | A | AA | CHF210 | Sr. Unsecured | 5.00 | - | Aug-31 | 1.135% | IGC | EMEA | ||||
FNCL | PRCD | Jun 23, 2026 | NWG | NatWest Markets PLC | A1 | A | AA | €1,250 | Sr. Unsecured | 3.00 | - | Jun-29 | 3.125% | IGC | EMEA | ||||
FNCL | PRCD | Mar 24, 2026 | NWG | NatWest Markets PLC | A1 | A | AA- | $350 | Sr. Unsecured | 3.00 | - | Mar-29 | SOFR+93 | IGC | EMEA | ||||
FNCL | PRCD | Mar 24, 2026 | NWG | NatWest Markets PLC | A1 | A | AA- | $1,200 | Sr. Unsecured | 3.00 | - | Mar-29 | 4.654% | IGC | EMEA | ||||
FNCL | PRCD | Mar 24, 2026 | NWG | NatWest Markets PLC | A1 | A | AA- | $750 | Sr. Unsecured | 5.00 | - | Mar-31 | 4.893% | IGC | EMEA | ||||
FNCL | PRCD | Jan 7, 2026 | NWG | NatWest Markets PLC | A1 | A | AA- | €1,000 | Sr. Unsecured | 5.00 | - | Jan-31 | 3.125% | IGC | EMEA | ||||
FNCL | PRCD | Dec 3, 2025 | NWG | NatWest Markets PLC | A1 | A | AA- | $450 | Sr. Unsecured | 3.50 | - | Jun-29 | 3mBBSW+97 | IGC | EMEA | ||||
FNCL | PRCD | Dec 3, 2025 | NWG | NatWest Markets PLC | A1 | A | AA- | $550 | Sr. Unsecured | 3.50 | - | Jun-29 | 5.026% | IGC | EMEA | ||||
FNCL | PRCD | Oct 30, 2025 | NWG | NatWest Markets PLC | A1 | A | AA- | $600 | Sr. Unsecured | 3.00 | - | Nov-28 | SOFR+80 | IGC | EMEA |