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Nationwide Ccds (NBS) Regulatory News

Date Source Headline
25th Jun 2025 1:44 pm RNS Consent Solicitation - Results (XS2667626233)
25th Jun 2025 1:39 pm RNS Consent Solicitation - Results (XS2585239200)
25th Jun 2025 1:39 pm RNS Consent Solicitation - Results (XS2757511113)
25th Jun 2025 1:33 pm RNS Consent Solicitation - Results (XS2049149821)
25th Jun 2025 1:30 pm RNS Consent Solicitation - Results (XS2343851510)
20th Jun 2025 9:02 am RNS Redemption of Securities
11th Jun 2025 10:55 am RNS Tender Offer - Results Announcement
6th Jun 2025 4:56 pm RNS Publication of Offering Circular
4th Jun 2025 12:02 pm RNS Tender Offer - Maximum Acceptance Amount
4th Jun 2025 9:26 am RNS Stabilisation Notice
3rd Jun 2025 9:21 am RNS Stabilisation Notice
3rd Jun 2025 8:45 am RNS Consent Solicitation - Launch Announcement
3rd Jun 2025 8:43 am RNS Tender Offer - Launch Announcement
3rd Jun 2025 8:41 am RNS Consent Solicitation - Notice to Noteholders
29th May 2025 5:38 pm RNS CB PLC Annual Report & Accs period end 31 Mar 2025
29th May 2025 5:35 pm RNS VMUK Annual Report & Accs period end 31 Mar 2025
29th May 2025 2:42 pm RNS Publication of Supplement
29th May 2025 7:00 am RNS Preliminary Results Announcement
23rd May 2025 9:00 am RNS Update to Stated Post Offer Intention
22nd May 2025 7:25 am RNS Redemption of Securities
7th May 2025 2:19 pm RNS Publication of Final Terms
28th Apr 2025 3:24 pm RNS Publication of Final Terms
22nd Apr 2025 9:45 am RNS Post Stabilisation Notice Nationwide € 7yr Covered
24th Mar 2025 2:36 pm RNS Publication of Final Terms
17th Mar 2025 9:16 am RNS Pre Stabilisation Notice Nationwide € 7yr Covered
11th Mar 2025 7:00 am RNS Announcement
27th Feb 2025 2:19 pm RNS Publication of Final Terms
10th Feb 2025 9:00 am RNS Notice of Redemption of Securities
31st Jan 2025 3:37 pm RNS Publication of Final Terms
23rd Jan 2025 4:27 pm RNS Publication of Final Terms
23rd Jan 2025 4:24 pm RNS Publication of Final Terms
23rd Jan 2025 2:01 pm RNS Virgin Money UK PLC Directorate Change
14th Jan 2025 1:46 pm RNS Publication of Final Terms
9th Jan 2025 5:31 pm RNS Publication of Final Terms
11th Dec 2024 11:03 am RNS Publication of Supplement
27th Nov 2024 7:00 am RNS Interim Financial Report to 30 September 2024
27th Nov 2024 7:00 am RNS Redemption of Additional Tier 1 Capital Securities
27th Nov 2024 7:00 am RNS Half-year Report
13th Nov 2024 12:00 pm RNS Directorate Change
15th Oct 2024 9:19 am RNS Post Stabilisation Notice - Nationwide GBP AT1
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