11/07/2025
|
15:53
|
Publication of Final Terms
|
RNS
|
07/07/2025
|
09:23
|
Redemption of Securities
|
RNS
|
03/07/2025
|
17:14
|
Publication of a Base Prospectus
|
RNS
|
03/07/2025
|
17:14
|
Publication of a Registration Document
|
RNS
|
03/07/2025
|
15:40
|
Publication of a Prospectus
|
RNS
|
02/07/2025
|
17:04
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Publication of Final Terms
|
RNS
|
02/07/2025
|
16:58
|
Implementation Date Announcement - Senior Notes
|
RNS
|
02/07/2025
|
16:52
|
Implementation Date Announcement - Tier 2 Notes
|
RNS
|
02/07/2025
|
16:49
|
Implementation Date Announcement - Tier 2 Notes
|
RNS
|
25/06/2025
|
13:44
|
Consent Solicitation - Results (XS2667626233)
|
RNS
|
25/06/2025
|
13:39
|
Consent Solicitation - Results (XS2585239200)
|
RNS
|
25/06/2025
|
13:39
|
Consent Solicitation - Results (XS2757511113)
|
RNS
|
25/06/2025
|
13:33
|
Consent Solicitation - Results (XS2049149821)
|
RNS
|
25/06/2025
|
13:30
|
Consent Solicitation - Results (XS2343851510)
|
RNS
|
20/06/2025
|
09:02
|
Redemption of Securities
|
RNS
|
11/06/2025
|
10:55
|
Tender Offer - Results Announcement
|
RNS
|
06/06/2025
|
16:56
|
Publication of Offering Circular
|
RNS
|
04/06/2025
|
12:02
|
Tender Offer - Maximum Acceptance Amount
|
RNS
|
04/06/2025
|
09:26
|
Stabilisation Notice
|
RNS
|
03/06/2025
|
09:21
|
Stabilisation Notice
|
RNS
|
03/06/2025
|
08:45
|
Consent Solicitation - Launch Announcement
|
RNS
|
03/06/2025
|
08:43
|
Tender Offer - Launch Announcement
|
RNS
|
03/06/2025
|
08:41
|
Consent Solicitation - Notice to Noteholders
|
RNS
|
29/05/2025
|
17:38
|
CB PLC Annual Report & Accs period end 31 Mar 2025
|
RNS
|
29/05/2025
|
17:35
|
VMUK Annual Report & Accs period end 31 Mar 2025
|
RNS
|
29/05/2025
|
14:42
|
Publication of Supplement
|
RNS
|
29/05/2025
|
07:00
|
Preliminary Results Announcement
|
RNS
|
23/05/2025
|
09:00
|
Update to Stated Post Offer Intention
|
RNS
|
22/05/2025
|
07:25
|
Redemption of Securities
|
RNS
|
07/05/2025
|
14:19
|
Publication of Final Terms
|
RNS
|
28/04/2025
|
15:24
|
Publication of Final Terms
|
RNS
|
22/04/2025
|
09:45
|
Post Stabilisation Notice Nationwide € 7yr Covered
|
RNS
|
24/03/2025
|
14:36
|
Publication of Final Terms
|
RNS
|
17/03/2025
|
09:16
|
Pre Stabilisation Notice Nationwide € 7yr Covered
|
RNS
|
11/03/2025
|
07:00
|
Announcement
|
RNS
|
27/02/2025
|
14:19
|
Publication of Final Terms
|
RNS
|
10/02/2025
|
09:00
|
Notice of Redemption of Securities
|
RNS
|
31/01/2025
|
15:37
|
Publication of Final Terms
|
RNS
|
23/01/2025
|
16:27
|
Publication of Final Terms
|
RNS
|
23/01/2025
|
16:24
|
Publication of Final Terms
|
RNS
|
23/01/2025
|
14:01
|
Virgin Money UK PLC Directorate Change
|
RNS
|
14/01/2025
|
13:46
|
Publication of Final Terms
|
RNS
|
09/01/2025
|
17:31
|
Publication of Final Terms
|
RNS
|
11/12/2024
|
11:03
|
Publication of Supplement
|
RNS
|
27/11/2024
|
07:00
|
Interim Financial Report to 30 September 2024
|
RNS
|
27/11/2024
|
07:00
|
Redemption of Additional Tier 1 Capital Securities
|
RNS
|
27/11/2024
|
07:00
|
Half-year Report
|
RNS
|
13/11/2024
|
12:00
|
Directorate Change
|
RNS
|
15/10/2024
|
09:19
|
Post Stabilisation Notice - Nationwide GBP AT1
|
RNS
|
03/10/2024
|
15:59
|
Consideration Exchange Rates for Virgin Money UK
|
RNS
|