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 (åpner i PDF)

Bond Agreement N00010835150 - 5 yrs NC 2029 (åpner i PDF)

Bond Agreement N00010835143 - 5 yrs NC 2029 (åpner i PDF)

Bond Agreement NO0013416362 - 5.5 yrs NC 2030 (åpner i PDF)

 

Tier2 Bonds

Final Terms 11NC6 SEK 750M 2.29 percent 3M Stibor Floating Rate Notes 23 Dec 2030 (åpner i PDF)

Final Terms 10.5NC5.5 NOK 500M 2.62 percent Fixed Rate Notes 18 Jun 2031 (åpner i PDF)

 

EMTN Programme and Final Terms 2024-2025

Base Prospectus (åpner i PDF)

Articles of Association - Santander Consumer Bank AS (åpner i PDF)

Issue and Paying Agency Agreement (åpner i PDF)

Deed of Covenant (åpner i PDF)

Programme Manual (åpner i PDF)

ICSD Agreement (åpner i PDF)

Final Terms SEK 500M  floating Rate Notes 17 Jan 2028 (åpner i PDF)

Final Terms SEK 500M Tap Issue in floating Rate Notes 17 Jan 2028 (åpner i PDF)

EMTN Programme and Final Terms 2023-2024

Base Prospectus (åpner i PDF)

EMTN Supplement (åpner i PDF)

Articles of Association - Santander Consumer Bank AS (åpner i PDF)

Issue and Paying Agency Agreement (åpner i PDF)

Deed of Covenant (åpner i PDF)

Programme Manual (åpner i PDF)

ICSD Agreement (åpner i PDF)

Final Terms SEK 550M Floating Rate Notes 18 Jan 2027 (åpner i PDF)

Final Terms SEK 350M Tap Issue in Floating Rate Notes 18 Jan 2027 (åpner i PDF)

Final Terms SEK 650M Floating Rate Notes 18 Mar 2027 (åpner i PDF)

Final Terms SEK 500M Floating Rate Notes 27 Aug 2029 (åpner i PDF)

Final Terms SEK 500M Floating Rate Notes 10 Sep 2027 (åpner i PDF)

Final Terms SEK 300M Tap Issue  in Floating Rate Notes 10 Sep 2027 (åpner i PDF)

EMTN Programme and Final Terms 2022-2023

Base Prospectus (åpner i PDF)

Articles of Association - Santander Consumer Bank AS (åpner i PDF)

Issue and Paying Agency Agreement (åpner i PDF)

Deed of Covenant (åpner i PDF)

Programme Manual (åpner i PDF)

ICSD Agreement (åpner i PDF)

 

EMTN Programme and Final Terms 2021-2022

Base Prospectus (åpner i PDF)

Articles of Association - Santander Consumer Bank AS (åpner i PDF)

Issue and Paying Agency Agreement (åpner i PDF)

Deed of Covenant (åpner i PDF)

Programme Manual (åpner i PDF)

ICSD Agreement (åpner i PDF)

Final Terms SEK 500M Floating Rate Notes 11 Oct 2024 (åpner i PDF)

Final Terms EUR 500M 0.500 percent Fixed Rate Notes 11 Aug 2025 (åpner i PDF)

 

EMTN Programme and Final Terms 2020-2021

Base Prospectus (åpner i PDF)

Articles of Association - Santander Consumer Bank AS (åpner i PDF)

Issue and Paying Agency Agreement (åpner i PDF)

Deed of Covenant (åpner i PDF)

Programme Manual (åpner i PDF)

ICSD Agreement (åpner i PDF)

Final Terms SEK 500m Tap Issue in Floating Rate Notes 29 Apr 2024 (åpner i PDF)

Final Terms SEK 500M Issue in Floating Rate Notes 19 Jan 2026 (åpner i PDF)

Final Terms EUR 500M 0.125 percent Fixed Rate Notes 14 Apr 2026 (åpner i PDF)

Final Terms SEK 500 Issue in Floating Rate Notes 29 Apr 2024 (åpner i PDF)

 

EMTN Programme and Final Terms 2019-2020

Base Prospectus (åpner i PDF)

Final Terms EUR 500M 0.125 percent Fixed Rate Notes due 25 Feb 2025 (åpner i PDF)

Final Terms SEK 500M Tap Issue in Floating Rate Notes 19 Sep 2022 (åpner i PDF)

Final Terms SEK 500M 0.62 percent 3M Stibor Floating Rate Notes 19 Sep 2022 (åpner i PDF)

Final Terms EUR 500M 0.125 percent Fixed Rate Notes due 11 Sep 2024 (åpner i PDF)

Final Terms SEK 500M Tap Issue in Floating Rate Notes 15 Jan 2025 (åpner i PDF)

Final Terms SEK 500M 1.05 percent 3M Stibor Floating Rate Notes 15 Jan 2025 (åpner i PDF)

Final Terms SEK 1000M 0.60 percent 3M Stibor Green Bond FRN 12 May 2023 (åpner i PDF)

 

EMTN Programme and Final Terms 2018-2019

Base Prospectus (åpner i PDF)

Supplement to Base Prospectus dated 21 February 2019 (åpner i PDF)

Final Terms DKK 750M 0.58 percent 3M Cibor Floating Rate Notes 2 Apr 2022 (åpner i PDF)

Final Terms SEK 105M Tap Issue in Floating Rate Notes 11 May 2022 (åpner i PDF)

Final Terms SEK 250M Tap Issue in Floating Rate Notes 18 Oct 2021 (åpner i PDF)

Final Terms EUR 500M 0.875 percent Fixed Rate Notes due 21 Jan 2021 (åpner i PDF)

Final Terms SEK 250M Tap Issue in Floating Rate Notes 13 Aug 2023 (åpner i PDF)

Final Terms SEK 500M 0.60 percent 3M Stibor Floating Rate Notes 18 Oct 2021 (åpner i PDF)

Final Terms DKK 500M 0.75 percent 3M Cibor Floating Rate Notes 20 Sep 2021 (åpner i PDF)

Final Terms SEK 500M 0.83 percent 3M Stibor Floating Rate Notes 13 Aug 2023 (åpner i PDF)

 

EMTN Programme and Final Terms 2017-2018

Base Prospectus (åpner i PDF)

Supplement to Base Prospectus dated 15 February 2018 (åpner i PDF)

Final Terms SEK 500M 0.60 percent 3M Stibor Floating Rate Notes 11 May 2022 (åpner i PDF)

Final Terms SEK 500M 0.75 percent 3M Stibor Floating Rate Notes 22 Jan 2021 (åpner i PDF)

Final Terms EUR 500M 0.750 percent Fixed Rate Notes due 1 Mar 2023 (åpner i PDF)

Final Terms SEK 500M 0.78 percent 3M Stibor Floating Rate Notes 18 Jan 2023 (åpner i PDF)

Final Terms SEK 500M Tap Issue Floating Rate Notes 14 Jun 2021 (åpner i PDF)

 

EMTN Programme and Final Terms 2016-2017

Base Prospectus (åpner i PDF)

Supplement to Base Prospectus dated 1 March 2017 (åpner i PDF)

Final Terms EUR 500m 0.375 percent Fixed Rate Notes due 17 Feb 2020 (åpner i PDF)

Final Terms EUR 500m 0.250 percent Fixed Rate Notes due 30 Sept 2019 (åpner i PDF)

Final Terms SEK 500M 0.80 percent 3M Stibor Floating Rate Notes 14 Jun 2021 (åpner i PDF)

Final Terms SEK 400m 0.73 percent 3M Stibor Floating Rate Notes 30 Mar 2020 (åpner i PDF)

Final Terms SEK 600M Tap Issue in Floating Rate Notes 30 Mar 2020 (åpner i PDF)

Final Terms SEK 500m 0.80 percent 3M Stibor Floating Rate Notes 18 Nov 2019 (åpner i PDF)

Final Terms SEK 500m Tap Issue in Floating Rate Notes 18 Nov 2019 (åpner i PDF)

Final Terms SEK 300m Tap Issue in Floating Rate Notes 18 Nov 2019 (åpner i PDF)

Final Terms SEK 150m Tap Issue in Floating Rate Notes 18 Nov 2019 (åpner i PDF)

 

EMTN Programme and Final Terms 2015-2016

Base Prospectus (åpner i PDF)

Supplement to Base Prospectus September 2015 (åpner i PDF)

Final Terms EUR 500m 1.00 percent Fixed Rate Notes due 25 Febr 2019 (åpner i PDF)

Final Terms SEK 1000m 0.48 percent Fixed Rate Notes 12 June 2017 (åpner i PDF)

Final Terms SEK 500m 0.75 percent 3M Stibor Floating Rate Notes 12 June 2018 (åpner i PDF)

​Final Terms SEK 500m 0.88 percent Fixed Rate Notes 12 June 2018 (åpner i PDF)

Final Terms SEK 1500m 0.68 percent 3M Stibor Floating Rate Notes due 10 August 2017​ (åpner i PDF)

 

EMTN Programme and Final Terms 2014-15

Base Prospectus​ (åpner i PDF)

Supplement to Base Prospectus October 2014 (åpner i PDF)

Supplement to Base Prospectus November 2014 (åpner i PDF)

Supplement to Base Prospectus April 2015​​ (åpner i PDF)

Final Terms 1.00 percent Fixed Rate Notes due 10 June 2016 (åpner i PDF)

Final Terms 0.625 percent Fixed Rate Note due 21 April 2015​ (åpner i PDF)

 

 

Norwegian Senior Bonds - Loan Agreements

Bond NO0010893365 Sep 2025 - SANC40 (åpner i PDF)

Bond NO0011146425 Nov 2026 - SANC43 (åpner i PDF)

Bond NO0013019067 Sep 2028 - SANC44 (åpner i PDF)

Bond NO0013019059 Sep 2026 - SANC45 (åpner i PDF)

Bond NO0012662420 Aug 2027 - SANC46 (åpner i PDF)

Bond NO0012662412 Aug 2025 - SANC47 (åpner i PDF)

Bond NO0013119883 Jan 2027 - SANC48 (åpner i PDF)

​Bond NO0013250621 May 2027 - SANC49 (åpner i PDF)

​Bond NO0013391615 Nov 2027 - SANC50 (åpner i PDF)

​Bond NO0013476119 Feb 2028  - SANC51 (åpner i PDF)