Unsecured bonds
Prospectuses, final terms and related documentation to outstanding senior bonds issued by Santander Consumer Bank AS.
AT1 Perpetual Bonds
Bond Agreement N00010835176 - 7 yrs NC 2025
Bond Agreement N00010835150 - 6 yrs NC 2024
Bond Agreement N00010835143 - 5 yrs NC 2029
Tier2 Bonds
Final Terms 10NC5 SEK 750M 2.08 percent 3M Stibor Floating Rate Notes 10 Dec 2029
Final Terms 11NC6 SEK 750M 2.29 percent 3M Stibor Floating Rate Notes 23 Dec 2030
Final Terms 10.5NC5.5 NOK 500M 2.62 percent Fixed Rate Notes 18 Jun 2031
EMTN Programme and Final Terms 2023-2024
Articles of Association - Santander Consumer Bank AS
Issue and Paying Agency Agreement
Final Terms SEK 550M Floating Rate Notes 18 Jan 2027
Final Terms SEK 350M Tap Issue in Floating Rate Notes 18 Jan 2027
Final Terms SEK 650M Floating Rate Notes 18 Mar 2027
Final Terms SEK 500M Floating Rate Notes 27 Aug 2029
Final Terms SEK 500M Floating Rate Notes 10 Sep 2027
Final Terms SEK 300M Tap Issue in Floating Rate Notes 10 Sep 2027
EMTN Programme and Final Terms 2022-2023
Articles of Association - Santander Consumer Bank AS
Issue and Paying Agency Agreement
EMTN Programme and Final Terms 2021-2022
Articles of Association - Santander Consumer Bank AS
Issue and Paying Agency Agreement
Final Terms SEK 500M Floating Rate Notes 11 Oct 2024
Final Terms EUR 500M 0.500 percent Fixed Rate Notes 11 Aug 2025
EMTN Programme and Final Terms 2020-2021
Articles of Association - Santander Consumer Bank AS
Issue and Paying Agency Agreement
Final Terms SEK 500m Tap Issue in Floating Rate Notes 29 Apr 2024
Final Terms SEK 500M Issue in Floating Rate Notes 19 Jan 2026
Final Terms EUR 500M 0.125 percent Fixed Rate Notes 14 Apr 2026
Final Terms SEK 500 Issue in Floating Rate Notes 29 Apr 2024
EMTN Programme and Final Terms 2019-2020
Final Terms EUR 500M 0.125 percent Fixed Rate Notes due 25 Feb 2025
Final Terms SEK 500M Tap Issue in Floating Rate Notes 19 Sep 2022
Final Terms SEK 500M 0.62 percent 3M Stibor Floating Rate Notes 19 Sep 2022
Final Terms EUR 500M 0.125 percent Fixed Rate Notes due 11 Sep 2024
Final Terms SEK 500M Tap Issue in Floating Rate Notes 15 Jan 2025
Final Terms SEK 500M 1.05 percent 3M Stibor Floating Rate Notes 15 Jan 2025
EMTN Programme and Final Terms 2018-2019
Supplement to Base Prospectus dated 21 February 2019
Final Terms DKK 750M 0.58 percent 3M Cibor Floating Rate Notes 2 Apr 2022
Final Terms SEK 105M Tap Issue in Floating Rate Notes 11 May 2022
Final Terms SEK 250M Tap Issue in Floating Rate Notes 18 Oct 2021
Final Terms EUR 500M 0.875 percent Fixed Rate Notes due 21 Jan 2021
Final Terms SEK 250M Tap Issue in Floating Rate Notes 13 Aug 2023
Final Terms SEK 500M 0.60 percent 3M Stibor Floating Rate Notes 18 Oct 2021
Final Terms DKK 500M 0.75 percent 3M Cibor Floating Rate Notes 20 Sep 2021
Final Terms SEK 500M 0.83 percent 3M Stibor Floating Rate Notes 13 Aug 2023
EMTN Programme and Final Terms 2017-2018
Supplement to Base Prospectus dated 15 February 2018
Final Terms SEK 500M 0.60 percent 3M Stibor Floating Rate Notes 11 May 2022
Final Terms SEK 500M 0.75 percent 3M Stibor Floating Rate Notes 22 Jan 2021
Final Terms EUR 500M 0.750 percent Fixed Rate Notes due 1 Mar 2023
Final Terms SEK 500M 0.78 percent 3M Stibor Floating Rate Notes 18 Jan 2023
Final Terms SEK 500M Tap Issue Floating Rate Notes 14 Jun 2021
EMTN Programme and Final Terms 2016-2017
Supplement to Base Prospectus dated 1 March 2017
Final Terms EUR 500m 0.375 percent Fixed Rate Notes due 17 Feb 2020
Final Terms EUR 500m 0.250 percent Fixed Rate Notes due 30 Sept 2019
Final Terms SEK 500M 0.80 percent 3M Stibor Floating Rate Notes 14 Jun 2021
Final Terms SEK 400m 0.73 percent 3M Stibor Floating Rate Notes 30 Mar 2020
Final Terms SEK 600M Tap Issue in Floating Rate Notes 30 Mar 2020
Final Terms SEK 500m 0.80 percent 3M Stibor Floating Rate Notes 18 Nov 2019
Final Terms SEK 500m Tap Issue in Floating Rate Notes 18 Nov 2019
Final Terms SEK 300m Tap Issue in Floating Rate Notes 18 Nov 2019
Final Terms SEK 150m Tap Issue in Floating Rate Notes 18 Nov 2019
EMTN Programme and Final Terms 2015-2016
Supplement to Base Prospectus September 2015
Final Terms EUR 500m 1.00 percent Fixed Rate Notes due 25 Febr 2019
Final Terms SEK 1000m 0.48 percent Fixed Rate Notes 12 June 2017
Final Terms SEK 500m 0.75 percent 3M Stibor Floating Rate Notes 12 June 2018
Final Terms SEK 500m 0.88 percent Fixed Rate Notes 12 June 2018
Final Terms SEK 1500m 0.68 percent 3M Stibor Floating Rate Notes due 10 August 2017
EMTN Programme and Final Terms 2014-15
Supplement to Base Prospectus October 2014
Supplement to Base Prospectus November 2014
Supplement to Base Prospectus April 2015
Final Terms 1.00 percent Fixed Rate Notes due 10 June 2016
Final Terms 0.625 percent Fixed Rate Note due 21 April 2015
Norwegian Senior Bonds - Loan Agreements
Bond NO0010868508 Nov 2024 - SANC39
Bond NO0010893365 Sep 2025 - SANC40
Bond NO0011146409 Nov 2024 - SANC42
Bond NO0011146425 Nov 2026 - SANC43
Bond NO0013019067 Sep 2028 - SANC44
Bond NO0013019059 Sep 2026 - SANC45
Bond NO0012662420 Aug 2027 - SANC46
Bond NO0012662412 Aug 2025 - SANC47