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EMEA Public Offerings
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Switzerland
ISIN Name Asset Class Issue Date Maturity Date Base Prospectus & Supplements Final Terms Other / Notices XS3106519153 Credit Linked Note Linked to Electricite de France SA Credit Linked Note 30-July-2025 20-June-2030 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third Supplement
NBI Fourth Supplement
NBI Fifth SupplementFinal Terms Key Information Document XS3106518346 Credit Linked Note Linked to Delta Air Lines Inc Credit Linked Note 30-July-2025 20-June-2030 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third Supplement
NBI Fourth Supplement
NBI Fifth SupplementFinal Terms Key Information Document XS3106509782 Credit Linked Note Linked to Stellantis N.V. Credit Linked Note 20-August-2025 20-June-2030 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third Supplement
NBI Fourth Supplement
NBI Fifth SupplementFinal Terms Key Information Document XS3142298275 Credit Linked Note Linked to LANXESS AG Credit Linked Note 12-September-2025 20-June-2030 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third Supplement
NBI Fourth Supplement
NBI Fifth Supplement
NBI Sixth SupplementFinal Terms Key Information Document XS3170266251 Credit Linked Note Linked to Ford Motor Company Credit Linked Note 10-October-2025 20-December-2030 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third Supplement
NBI Fourth Supplement
NBI Fifth Supplement
NBI Sixth SupplementFinal Terms Key Information Document XS3142302481 Credit Linked Note Linked to iTraxx® Europe Crossover Series 44 (Version 1) Credit Linked Note 30-October-2025 20-December-2030 Final Terms Key Information Document XS3225177693 Credit Linked Note Linked to Stellantis Credit Linked Note 2-January-2026 20-December-2030 Final Terms Key Information Document XS3225181026 Credit Linked Note Linked to Oracle Corp Credit Linked Note 2-January-2026 20-December-2030 Final Terms XS3257594450 Credit Linked Note Linked to Paramount Global Credit Linked Note 3-February-2026 20-December-2030 Final Terms Key Information Document XS3286614386 EUR Credit Linked Note Linked to Petroleos Mexicanos Credit Linked Note 24-February-2026 20-December-2030 Final Terms Key Information Document XS3286612927 USD Credit Linked Note Linked to Petroleos Mexicanos Credit Linked Note 24-February-2026 20-December-2030 Final Terms Key Information Document XS3307299530 EUR Credit Linked Securities linked to the credit of Ford Motor Company due 20 December 2030 Credit Linked Note 30-March-2026 20-December-2030 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third SupplementFinal Terms Key Information Document XS3326452771 USD Credit Linked Securities linked to the credit of General Motors Company due 20 June 2031 Credit Linked Note 29-April-2026 20-June-2031 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third SupplementFinal Terms Key Information Document XS3326464511 EUR Credit Linked Securities linked to the credit of ArcelorMittal due 20 June 2031 Credit Linked Note 29-April-2026 20-June-2031 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third SupplementFinal Terms Key Information Document -
Finland
ISIN Name Asset Class Issue Date Maturity Date Base Prospectus & Supplements Final Terms Other / Notices XS2936099188 Luottokori Eurooppa Kasvu 24 Credit Linked Note 12 May 2026 10 July 2031 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third SupplementFinal Terms Key Information Document XS3362306915 Luksusbrändit 3x Booster Equity Linked Note 15 June 2026 15 December 2031 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third SupplementFinal Terms Key Information Document XS3359751206 Luksusbrändit Bonus Autocall Equity Linked Note 15 June 2026 15 June 2033 Final Terms Key Information Document XS3397152979 Luksusbrändit 3x Booster 2 Equity Linked Note 14 July 2026 14 January 2032 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third Supplement
NBI Fourth SupplementFinal Terms Key Information Document XS3397083471 Luksusbrändit Bonus Autocall 2 Equity Linked Note 14 July 2026 14 July 2033 Base Prospectus
NIF First Supplement
NIF Second Supplement
NIF Third SupplementFinal Terms Key Information Document XS3468119196 Teknologiayhtiöt Bonus Autocall 4 Equity Linked Note 14 October 2026 14 October 2033 Base Prospectus
NIF First Supplement
NIF Second Supplement
NIF Third Supplement
NIF Fourth Supplement
NIF Fifth SupplementFinal Terms -
Sweden
ISIN Name Asset Class Issue Date Maturity Date Base Prospectus & Supplements Final Terms Other / Notices -
Italy
ISIN Name Asset Class Issue Date Maturity Date Base Prospectus & Supplements Final Terms Other / Notices XS3190783558 EUR Credit Linked Certificates linked to the credit of Lloyds Banking Group PLC (Subordinated) due 10 July 2036 Credit Linked Note 21-September-2026 10-July-2036 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third Supplement
NBI Fourth Supplement
NBI Fifth SupplementFinal Terms Key Information Document XS3190783632 EUR Credit Linked Certificates linked to the credit of Lloyds Banking Group PLC (Subordinated) due 10 July 2036 Credit Linked Note 21-September-2026 10-July-2036 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third Supplement
NBI Fourth Supplement
NBI Fifth SupplementFinal Terms Key Information Document XS3190783715 EUR Credit Linked Certificates linked to the credit of Stellantis NV due 10 July 2036 Credit Linked Note 21-September-2026 10-July-2036 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third Supplement
NBI Fourth Supplement
NBI Fifth SupplementFinal Terms Key Information Document XS3190783475 EUR Credit Linked Certificates linked to the credit of Stellantis NV due 10 July 2036 Credit Linked Note 21-September-2026 10-July-2036 Base Prospectus
NBI First Supplement
NBI Second Supplement
NBI Third Supplement
NBI Fourth Supplement
NBI Fifth SupplementFinal Terms Key Information Document