| GB00B4K5S754 |
FTSE Bonus Income16 Yly ISA |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.25% |
5,774.43 |
UKX |
| GB00B62V9D84 |
FTSE Enhanced Kickout 24 INV |
07/12/2011 |
07/12/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
12.50% |
5,546.91 |
UKX |
| GB00B7MKSD55 |
Geared Returns 32 COL |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
67.50% |
5,758.11 |
UKX |
| GB00B4L7RN90 |
FTSE Enhanced Kickout 21 INV |
01/08/2011 |
01/08/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
21.50% |
5,774.43 |
UKX |
| DGP04L36000I |
FTSE Dep Growth Plan 19 Op1 |
15/10/2012 |
16/10/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
27.44% |
5,805.61 |
UKX |
| GB00B894XF45 |
FTSE Enhanced Kickout 32 INV |
26/11/2012 |
26/11/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.00% |
5,786.72 |
UKX |
| GB00B3CSW280 |
Geared Returns Plan 3 |
20/10/2008 |
28/10/2013 |
|
Matured |
|
29/10/2025 |
Geared Returns |
80.00% |
4,282.67 |
UKX |
| CGA0000000P7 |
FTSE 100 Income Deposit Plan 7 Yly |
15/02/2010 |
16/02/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
25.00% |
5,167.47 |
UKX |
| ROF5Y00000P2 |
FTSE RollOver Dep2 INV Yly |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
Rollover Income |
33.75% |
5,500.34 |
UKX |
| GB00B58X8D48 |
FTSE Bonus Income10 Mth Non |
19/10/2010 |
26/10/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.20% |
5,703.89 |
UKX |
| G3YF000P31O1 |
FTSE 100 3 Year Deposit Plan 31 - option 1 |
12/03/2012 |
12/03/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
19.00% |
5,892.75 |
UKX |
| CGA3F00000P2 |
3yr Gtd FTSE 100 Inc 2 Yly |
19/10/2009 |
19/10/2012 |
|
Matured |
|
29/10/2025 |
Income Deposit |
14.25% |
5,281.54 |
UKX |
| GB00B5T9GW66 |
FTSE 100 Geared Returns Plan 18 |
27/07/2010 |
03/08/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
75.00% |
5,365.67 |
UKX |
| G5YF000P21O1 |
FTSE 100 5 Year Deposit Plan 21 - Investec version - option 1 |
30/11/2010 |
30/11/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
31.50% |
5,528.27 |
UKX |
| GB00B3LP7693 |
FTSE Enhanced Kickout 26 INV |
12/03/2012 |
12/03/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.50% |
5,892.75 |
UKX |
| GKO5Y000P122 |
FTSE 100 KO Deposit 12 Op2 |
15/06/2010 |
17/06/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
18.00% |
5,217.82 |
UKX |
| GB00B3LB4R73 |
FTSE Bonus Income15 Yly |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.25% |
5,693.39 |
UKX |
| GB00B7091N53 |
Geared Returns 29 INV |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
75.00% |
5,546.91 |
UKX |
| CGQ0000000P2 |
Cap Gtd FTSE 100 Inc 2 Qly |
27/07/2009 |
28/07/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
29.40% |
4,586.13 |
UKX |
| GB00B3Z9GB55 |
FTSE 100 Gilt Backed Growth Plan 23 Op 1 |
26/04/2011 |
26/04/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
21.89% |
6,069.36 |
UKX |
| GB00B6717S47 |
FTSE Enhanced Kickout 5 |
07/09/2009 |
07/09/2010 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.00% |
4,933.18 |
UKX |
| CGA0000P9OP1 |
FTSE 100 Income Deposit Plan 9 opt1 Yly |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
26.19% |
5,341.93 |
UKX |
| CGM000P10OP2 |
FTSE 100 Income Deposit Plan 10 - Option 2 - Monthly |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.60% |
5,217.82 |
UKX |
| GB00B8FCCF59 |
FTSE Bonus Income 25 Mth ISA COL |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.80% |
5,758.41 |
UKX |
| DGP04L26000R |
FTSE Dep Growth Plan 9 Op2 |
01/08/2011 |
01/08/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
39.09% |
1,619.78 |
EVEN30 |
| GB00B703RJ57 |
FTSE Bonus Income19 Yly COL |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,546.91 |
UKX |
| GB00B5NF5C30 |
FTSE 100 Defensive Kick-Out Plan 1 |
06/06/2012 |
06/06/2014 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
17.00% |
5,384.11 |
UKX |
| GB00B5NL9X05 |
Geared Returns 27 INV |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
67.50% |
5,227.02 |
UKX |
| GKO5Y2000P24 |
FTSE 100 KO Deposit 24 Op2 |
07/12/2011 |
09/12/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
11.50% |
5,546.91 |
UKX |
| GB00B8FN2921 |
FTSE Bonus Income 25 Mth ISA |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
38.40% |
5,758.41 |
UKX |
| CGPIMF5YP10L |
Capital Guaranteed FTSE 100 Plus Income Plan 1 - Lloyds version - Annual |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
28.20% |
5,190.68 |
UKX |
| GPIMF5YP6OP1 |
FTSE 100 Plus Income Deposit Plan 6 - Option1 - Monthly |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
20.52% |
5,217.82 |
UKX |
| GB00B5ZR0C26 |
FTSE 100 Bonus Income Plan 7 - Annual - Non ISA |
15/06/2010 |
22/06/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
35.00% |
5,217.82 |
UKX |
| DGP04L27000I |
FTSE Dep Growth Plan 10 Op1 |
14/09/2011 |
14/09/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
22.87% |
5,227.02 |
UKX |
| CGPIMF5Y0000 |
FTSE 100 Plus Income Deposit Plan 2 - Investec version - Monthly |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
29.00% |
5,500.34 |
UKX |
| CGPIAF5Y0000 |
FTSE 100 Plus Income Deposit Plan 2 - Investec version - Annual |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
36.25% |
5,500.34 |
UKX |
| CGA000P12OP2 |
FTSE 100 Income Deposit Plan 12 Op2 Yly |
07/09/2010 |
07/09/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.50% |
5,407.82 |
UKX |
| GB00B5173B60 |
FTSE Bonus Income13 Yly ISA |
28/02/2011 |
07/03/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
35.75% |
5,994.01 |
UKX |
| GB00B3YYQW25 |
FTSE Enhanced Kickout 19 INV |
26/04/2011 |
26/04/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
22.00% |
6,069.36 |
UKX |
| GB00B6Z0XK71 |
FTSE Bonus Income18 Mth ISA |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.08% |
5,553.24 |
UKX |
| G5YF0000P8O1 |
Gtd 5yr FTSE 8 op1 (dep) |
15/06/2009 |
16/06/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
4,326.01 |
UKX |
| G5YF000P2001 |
FTSE 100 5 Year Deposit Plan 20 - Investec version - option 1 |
19/10/2010 |
19/10/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
32.50% |
5,703.89 |
UKX |
| GB00B4PXSG32 |
FTSE Bonus Income11 Mth Non |
30/11/2010 |
08/12/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.44% |
5,528.27 |
UKX |
| GB00B4ZTVN99 |
FTSE Bonus Income13 Mth ISA |
28/02/2011 |
07/03/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.92% |
5,994.01 |
UKX |
| GB00B6Z0XW93 |
FTSE 100 Gilt Backed Growth Plan 27 |
26/10/2011 |
26/10/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
34.28% |
5,553.24 |
UKX |
| GB00B7YH0F07 |
FTSE Bonus Income 23 Yly COL |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.00% |
5,432.37 |
UKX |
| GB00B3XYRX16 |
FTSE RPI Plan 7 Non ISA |
15/06/2009 |
23/06/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
44.72% |
4,326.01 |
UKX |
| GB00B4Q44Z60 |
FTSE 100 Accelerated Growth Plan 21 |
30/11/2010 |
08/12/2015 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
32.01% |
5,528.27 |
UKX |
| DGP04L27000R |
FTSE Dep Growth Plan 10 Op2 |
14/09/2011 |
14/09/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
48.91% |
1,556.33 |
EVEN30 |
| GB00B78S0043 |
Accelerated Growth Plan 30 |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
44.65% |
5,681.61 |
UKX |
| GB00B6XCZV03 |
FTSE Enhanced Kickout 29 COL 0% Commission |
23/07/2012 |
23/07/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.50% |
5,533.87 |
UKX |
| GKO5Y000P151 |
FTSE 100 KO Deposit 15 Op1 |
19/10/2010 |
19/10/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.50% |
5,703.89 |
UKX |
| CGM000P10OP1 |
FTSE 100 Income Deposit Plan 10 - Option 1 - Monthly |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.20% |
5,217.82 |
UKX |
| GPIMF5YP5OP1 |
FTSE 100 Plus Income Deposit Plan 5 - Option 1 - Monthly |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
23.40% |
5,341.93 |
UKX |
| GKO5Y000P3O1 |
Gtd 5yr FTSE KO Plan3 Opt1 |
15/06/2009 |
15/06/2010 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
7.25% |
4,326.01 |
UKX |
| ROF5Y0000P3I |
FTSE RollOver Dep3 INV Yly |
15/02/2010 |
16/02/2015 |
|
Matured |
|
29/10/2025 |
Rollover Income |
31.25% |
5,167.47 |
UKX |
| GB00B51MVC80 |
FTSE Enhanced Kickout 9 INV |
15/02/2010 |
15/02/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
5,167.47 |
UKX |
| GB00B5MQXX43 |
FTSE Bonus Income 20 Mth ISA |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.68% |
5,681.61 |
UKX |
| GB00B8FD4B86 |
FTSE Bonus Income 25 Mth COL |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.80% |
5,758.41 |
UKX |
| GB00B55T2L14 |
FTSE 100 Prot 5yr Plan 6 |
05/05/2009 |
12/05/2014 |
|
Matured |
|
29/10/2025 |
Protected Growth |
53.68% |
4,336.94 |
UKX |
| G5YF000P21O2 |
FTSE 100 5 Year Deposit Plan 21 - Investec version - option 2 |
30/11/2010 |
30/11/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
24.00% |
5,528.27 |
UKX |
| GB00B7YH1796 |
FTSE Bonus Income 23 Mth |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.20% |
5,432.37 |
UKX |
| DGP04L25000R |
FTSE Dep Growth Plan 8 Op2 |
20/06/2011 |
20/06/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
37.39% |
1,627.54 |
EVEN30 |
| GB00B88DM333 |
FTSE Enhanced Kickout 32 COL 0% Commission |
26/11/2012 |
26/11/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.50% |
5,786.72 |
UKX |
| G5YF000P1602 |
FTSE 100 5 Year Deposit Plan 16 - Investec version - option 2 |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
30.00% |
5,341.93 |
UKX |
| GB00B8FZGZ21 |
FTSE 100 Defensive Kick-Out Plan 5 |
26/11/2012 |
26/11/2014 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
14.00% |
5,786.72 |
UKX |
| GB00B46N4F38 |
FTSE 100 Protected Growth Plan 10 |
19/10/2009 |
27/10/2014 |
|
Matured |
|
29/10/2025 |
Protected Growth |
27.33% |
5,281.54 |
UKX |
| G5YF000P122L |
Guaranteed 5 Year FTSE 100 Plan 12 - Lloyds version - option 2 |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
26.00% |
5,190.68 |
UKX |
| ROF5Y000P04I |
FTSE RollOver Dep4 INV Yly |
22/03/2010 |
23/03/2015 |
|
Matured |
|
29/10/2025 |
Rollover Income |
33.50% |
5,644.54 |
UKX |
| G3YF000P1802 |
FTSE 3yr Dep 18 Opt 2 INV |
27/07/2010 |
29/07/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
12.00% |
5,365.67 |
UKX |
| GB00B42Q6839 |
FTSE 100 Geared Returns Plan19 |
07/09/2010 |
14/09/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
75.00% |
5,407.82 |
UKX |
| GKO5Y000P152 |
FTSE 100 KO Deposit 15 Op2 |
19/10/2010 |
19/10/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
11.50% |
5,703.89 |
UKX |
| GB00B4VSTY79 |
FTSE 100 Gilt Backed Growth Plan 22 Op 1 |
28/02/2011 |
28/02/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
23.82% |
5,994.01 |
UKX |
| CGA0000000P3 |
Capital Guaranteed 5 Year FTSE 100 Income Plan 3 - Option 1 - Annual |
07/09/2009 |
08/09/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
32.00% |
4,933.18 |
UKX |
| G3YF000P12O1 |
Gtd 3yr FTSE 12 op1 INVEST |
30/11/2009 |
30/11/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
18.00% |
5,190.68 |
UKX |
| G5YF000P1901 |
FTSE 100 5 Year Deposit Plan 19 - Investec version - option 1 |
07/09/2010 |
07/09/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
32.50% |
5,407.82 |
UKX |
| GKO5Y1000P21 |
FTSE 100 KO Deposit 21 Op 1 |
01/08/2011 |
01/08/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.00% |
5,774.43 |
UKX |
| GKO5Y2000P22 |
FTSE 100 KO Deposit 22 Op 2 |
14/09/2011 |
15/09/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.00% |
5,227.02 |
UKX |
| GB00B603QQ84 |
FTSE Bonus Income5 Mth Non |
22/03/2010 |
30/03/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.17% |
5,644.54 |
UKX |
| GB00B619TZ58 |
FTSE 100 Protected Growth Plan 14 |
22/03/2010 |
30/03/2015 |
|
Matured |
|
29/10/2025 |
Protected Growth |
17.91% |
5,644.54 |
UKX |
| GKO5Y000P131 |
FTSE 100 KO Deposit 13 Op1 |
27/07/2010 |
27/07/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.50% |
5,365.67 |
UKX |
| GKO5Y0000P18 |
FTSE 100 KO Deposit 18 Op1 |
28/02/2011 |
28/02/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
9.50% |
5,994.01 |
UKX |
| GB00B41ZZW80 |
Geared Returns 24 COL |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
62.50% |
6,069.36 |
UKX |
| GB00B57F8T72 |
Geared Returns 27 COL |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
62.50% |
5,227.02 |
UKX |
| GB00B70DV829 |
FTSE Bonus Income19 Yly COL ISA |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,546.91 |
UKX |
| GB00B7H34Q46 |
FTSE Bonus Income 27 Mth ISA COL |
26/11/2012 |
04/12/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.60% |
5,786.72 |
UKX |
| GB00B4TF5K89 |
5yr FTSE Bonus Income2 Yly |
30/11/2009 |
08/12/2014 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,190.68 |
UKX |
| G3YF0000P9O2 |
Gtd 3yr FTSE 9 op2 (dep) |
27/07/2009 |
27/07/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
19.00% |
4,586.13 |
UKX |
| G5YF00P1302L |
FTSE 100 5 Year Deposit Plan 13 - Lloyds version - option 2 |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.50% |
5,500.34 |
UKX |
| GB00B53V0V56 |
FTSE Bonus Income4 Mth Non |
15/02/2010 |
23/02/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
35.92% |
5,167.47 |
UKX |
| CGA0000P9OP2 |
FTSE 100 Income Deposit Plan 9 opt2 Yly |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
24.54% |
5,341.93 |
UKX |
| DGP01L180001 |
FTSE 100 Deposit Growth Plan 1 - Investec version |
27/07/2010 |
27/07/2015 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
27.94% |
5,365.67 |
UKX |
| GB00B663DJ44 |
FTSE Bonus Income15 Yly ISA |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.25% |
5,693.39 |
UKX |
| GB00B55CXQ23 |
FTSE Enhanced Kickout 18 INV |
28/02/2011 |
28/02/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
22.50% |
5,994.01 |
UKX |
| G5YF000P1701 |
FTSE 100 5 Year Deposit Plan17 - Investec version - option 1 |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
37.50% |
5,217.82 |
UKX |
| GB00B4Q1RC56 |
FTSE Enhanced Kickout 21 COL |
01/08/2011 |
01/08/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
19.50% |
5,774.43 |
UKX |
| DGP04L37000I |
FTSE Dep Growth Plan 20 Op1 |
26/11/2012 |
27/11/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
28.42% |
5,786.72 |
UKX |
| GKO5Y000P142 |
FTSE 100 KO Deposit 14 Op2 |
07/09/2010 |
09/09/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
18.00% |
5,407.82 |
UKX |
| CGQ0000000P1 |
Cap Gtd FTSE 100 Inc 1 Qly |
15/06/2009 |
16/06/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
29.40% |
4,326.01 |
UKX |
| CGPIMF5YP04I |
FTSE 100 Plus Income Deposit Plan 4 - Monthly |
22/03/2010 |
23/03/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
29.58% |
5,644.54 |
UKX |
| G5YF000P191R |
FTSE 100 5 Year Deposit Plan 19 - RBS version - option 1 |
07/09/2010 |
07/09/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.50% |
5,407.82 |
UKX |
| GB00B74YQ645 |
FTSE Bonus Income 22 Mth ISA |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.08% |
5,758.11 |
UKX |
| GB00B3BPBG79 |
FTSE 100 Prot 5yr Plan 1 |
08/09/2008 |
16/09/2013 |
|
Matured |
|
29/10/2025 |
Protected Growth |
18.86% |
5,446.30 |
UKX |
| G5YF00P1502L |
FTSE 100 5 Year Deposit Plan 15 - Lloyds version - option 2 |
22/03/2010 |
23/03/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.50% |
5,644.54 |
UKX |
| GB00B6Z0XM95 |
FTSE Bonus Income18 Yly COL |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
28.75% |
5,553.24 |
UKX |
| GB00B7N1DR63 |
FTSE 100 6yr Kickout Plan 1 INV |
02/05/2012 |
02/05/2013 |
|
Matured |
|
29/10/2025 |
6 Year Kickout |
11.00% |
5,758.11 |
UKX |
| GB00B7QD7F54 |
FTSE 100 Defensive Returns Plan 2 |
23/07/2012 |
23/07/2018 |
|
Matured |
|
29/10/2025 |
Defensive Returns |
34.53% |
5,533.87 |
UKX |
| G3YF000P23O1 |
FTSE 3yr Dep 23 opt 1 INV |
28/02/2011 |
28/02/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
14.00% |
5,994.01 |
UKX |
| DGP04L23000I |
FTSE Dep Growth Plan Op1 INV |
28/02/2011 |
29/02/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
2.11% |
5,994.01 |
UKX |
| GKO5Y2001P31 |
FTSE 100 KO Deposit 31 |
15/10/2012 |
15/10/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.00% |
5,805.61 |
UKX |
| CGA5V00000P3 |
Capital Guaranteed 5 Year FTSE 100 Income Plan 3 - Option 2 - Annual |
07/09/2009 |
08/09/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
18.73% |
4,933.18 |
UKX |
| GB00B50WLB82 |
FTSE 100 Geared Returns Plan14 - Investec version |
15/02/2010 |
23/02/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
5,167.47 |
UKX |
| DGP04L22000R |
FTSE Dep Growth Plan 5 RBS |
17/01/2011 |
18/01/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
5.02% |
5,985.70 |
UKX |
| GB00B733M535 |
Geared Returns 33 INV |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
80.00% |
5,432.37 |
UKX |
| GKO5Y000P2O1 |
Gtd 5yr FTSE KO Plan2 Opt1 |
05/05/2009 |
05/05/2010 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
7.25% |
4,336.94 |
UKX |
| GB00B46N9L43 |
FTSE Bonus Income9 Mth ISA |
07/09/2010 |
14/09/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.40% |
5,407.82 |
UKX |
| CGM3V00000P1 |
3yr Gtd FTSE Inc 1 Op2 Mth |
07/09/2009 |
07/09/2012 |
|
Matured |
|
29/10/2025 |
Income Deposit |
7.83% |
4,933.18 |
UKX |
| G5YF000P201R |
FTSE 100 5 Year Deposit Plan 20 - RBS version - option 1 |
19/10/2010 |
19/10/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.50% |
5,703.89 |
UKX |
| GB00B52X3024 |
FTSE Bonus Income19 Yly ISA |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.75% |
5,546.91 |
UKX |
| G5YF000P10O1 |
Guaranteed 5 Year FTSE 100 Plan 10 - option 1 |
07/09/2009 |
08/09/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
4,933.18 |
UKX |
| GB00B603QB32 |
FTSE Bonus Income5 Yly Non |
22/03/2010 |
30/03/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
40.00% |
5,644.54 |
UKX |
| GB00B41N4C57 |
Geared Returns 26 INV |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
67.50% |
5,774.43 |
UKX |
| GB00B4MKZ337 |
FTSE Bonus Income17 Mth COL |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.00% |
5,227.02 |
UKX |
| G5YF00P28O1L |
FTSE 5yr Dep 28 op1 |
26/10/2011 |
26/10/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
26.00% |
5,553.24 |
UKX |
| GB00B3ZJPF25 |
FTSE Bonus Income 24 Yly |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
38.75% |
5,533.87 |
UKX |
| G5YF0000P2O2 |
Gtd 5yr FTSE 2 op2 (dep) |
08/09/2008 |
09/09/2013 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
18.79% |
5,446.30 |
UKX |
| GB00B63KNC13 |
FTSE Bonus Income6 Mth Non |
05/05/2010 |
12/05/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
35.50% |
5,341.93 |
UKX |
| GB00B60GTM48 |
FTSE 100 Bonus Income Plan 7 - Monthly - Non ISA |
15/06/2010 |
22/06/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.48% |
5,217.82 |
UKX |
| GB00B55T2P51 |
FTSE Enhanced Kickout 2 |
05/05/2009 |
05/05/2010 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.00% |
4,336.94 |
UKX |
| G5YF00P22O2R |
FTSE 5yr Dep 22 op2 RBS |
17/01/2011 |
18/01/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
20.00% |
5,985.70 |
UKX |
| GB00B634W609 |
FTSE Bonus Income15 Mth COL |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.88% |
5,693.39 |
UKX |
| CGM0000000P6 |
FTSE 100 Income Deposit Plan 6 Mth |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
25.20% |
5,500.34 |
UKX |
| CGA0000000P6 |
FTSE 100 Income Deposit Plan 6 Yly |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
26.50% |
5,500.34 |
UKX |
| G5YF00P1702L |
FTSE 100 5 Year Deposit Plan 17 - Lloyds version - option 2 |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
26.00% |
5,217.82 |
UKX |
| GB00B3XZ0916 |
FTSE Bonus Income9 Yly ISA |
07/09/2010 |
14/09/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.75% |
5,407.82 |
UKX |
| GB00B5TMCL64 |
FTSE Bonus Income12 Mth Non |
17/01/2011 |
25/01/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.68% |
5,985.70 |
UKX |
| GB00B8FM8Y60 |
FTSE Bonus Income 25 Yly ISA |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
38.75% |
5,758.41 |
UKX |
| GB00B7W1WN65 |
Accelerated Growth Plan 37 |
26/11/2012 |
04/12/2017 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
76.46% |
5,786.72 |
UKX |
| CGPIMF5Y0P3I |
FTSE 100 Plus Income Deposit Plan 3 - Monthly |
15/02/2010 |
16/02/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
33.60% |
5,167.47 |
UKX |
| GB00B64BTQ94 |
FTSE Bonus Income6 Yly ISA |
05/05/2010 |
12/05/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,341.93 |
UKX |
| DGP04L25000I |
FTSE Dep Growth Plan 8 Op1 |
20/06/2011 |
20/06/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
7.01% |
5,693.39 |
UKX |
| GB00B6Z0XS57 |
Geared Returns 28 COL |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
62.50% |
5,553.24 |
UKX |
| G3YF000P33O1 |
FTSE 100 3 Year Deposit Plan 33 - option 1 |
11/06/2012 |
11/06/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
17.25% |
5,432.37 |
UKX |
| GB00B8FLD485 |
FTSE Enhanced Kickout 30 INV 0% Commission |
03/09/2012 |
03/09/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.20% |
5,758.41 |
UKX |
| GB00B89BXM28 |
FTSE Enhanced Kickout 32 INV 0% Commission |
26/11/2012 |
26/11/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.00% |
5,786.72 |
UKX |
| GB00B3DHH290 |
FTSE 100 Prot 5yr Plan 3 |
01/12/2008 |
09/12/2013 |
|
Matured |
|
29/10/2025 |
Protected Growth |
60.61% |
4,065.49 |
UKX |
| G3YF000P28O1 |
FTSE 100 3 Year Deposit Plan 28 - option 1 |
26/10/2011 |
27/10/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.50% |
5,553.24 |
UKX |
| G3YF000P30O2 |
FTSE 100 3 Year Deposit Plan 30 - option 2 |
31/01/2012 |
02/02/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
16.00% |
5,681.61 |
UKX |
| GB00B3KVF530 |
FTSE RPI Plan 5 Non ISA |
09/03/2009 |
17/03/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
42.24% |
3,542.40 |
UKX |
| GB00B3XYR318 |
Accelerated Growth Plan 8 |
15/06/2009 |
23/06/2014 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
88.49% |
4,326.01 |
UKX |
| CGM3F00000P2 |
3yr Gtd FTSE 100 Inc 2 Mth |
19/10/2009 |
19/10/2012 |
|
Matured |
|
29/10/2025 |
Income Deposit |
13.68% |
5,281.54 |
UKX |
| GB00B4W3WW02 |
FTSE 100 Accelerated Growth Plan 12 |
30/11/2009 |
08/12/2014 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
51.70% |
5,190.68 |
UKX |
| GB00B59ZVW91 |
FTSE 100 Geared Returns Plan 20 |
19/10/2010 |
26/10/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
5,703.89 |
UKX |
| GB00B4JN5V32 |
FTSE Enhanced Kickout 16 INV |
30/11/2010 |
30/11/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
22.50% |
5,528.27 |
UKX |
| GB00B5LLPZ62 |
FTSE Enhanced Kickout 27 COL |
02/05/2012 |
02/05/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
5,758.11 |
UKX |
| G3YF000P25O2 |
FTSE 3yr Dep 25 opt 2 |
20/06/2011 |
20/06/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
12.00% |
5,693.39 |
UKX |
| GB00B64XH720 |
FTSE 100 Geared Returns Plan16 - Investec version - option 2 |
05/05/2010 |
12/05/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
57.50% |
5,341.93 |
UKX |
| DGP01L20000R |
FTSE 100 Deposit Growth Plan 3 - RBS version |
19/10/2010 |
19/10/2015 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
15.63% |
5,703.89 |
UKX |
| GB00B7GKBF43 |
FTSE 100 6yr Kickout Plan 3 COL |
23/07/2012 |
23/07/2013 |
|
Matured |
|
29/10/2025 |
6 Year Kickout |
9.00% |
5,533.87 |
UKX |
| CGQ5V00000P3 |
Capital Guaranteed 5 Year FTSE 100 Income Plan 3 - Option 2 - Quarterly |
07/09/2009 |
08/09/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
16.21% |
4,933.18 |
UKX |
| G5YF00P24O2R |
FTSE 5yr Dep 24 op2 RBS |
26/04/2011 |
26/04/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.50% |
6,069.36 |
UKX |
| GKO5Y1000P25 |
FTSE 100 KO Deposit 25 Op1 |
31/01/2012 |
31/01/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
6.00% |
5,681.61 |
UKX |
| G3YF000P1901 |
FTSE 3yr Dep 19 Opt 1 INV |
07/09/2010 |
09/09/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,407.82 |
UKX |
| GB00B3W1FV73 |
FTSE 100 Gilt Backed Growth Plan 25 Op 1 |
01/08/2011 |
01/08/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
29.21% |
5,774.43 |
UKX |
| GB00B43GXS14 |
FTSE Enhanced Kickout 16 SAN |
30/11/2010 |
30/11/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
19.00% |
5,528.27 |
UKX |
| GB00B4MF1415 |
Geared Returns 24 INV |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
6,069.36 |
UKX |
| GKO5Y000P2O2 |
Gtd 5yr FTSE KO Plan2 Opt2 |
05/05/2009 |
05/05/2010 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.00% |
4,336.94 |
UKX |
| CGM0000000P8 |
FTSE 100 Income Deposit Plan 8 Mth |
22/03/2010 |
23/03/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
25.80% |
5,644.54 |
UKX |
| GKO5Y000P141 |
FTSE 100 KO Deposit 14 Op1 |
07/09/2010 |
07/09/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.50% |
5,407.82 |
UKX |
| CGM000P11OP1 |
FTSE 100 Income Deposit Plan 11 Op1 Mth |
27/07/2010 |
27/07/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.20% |
5,365.67 |
UKX |
| GB00B5LHXH29 |
FTSE 100 Protected Growth Plan 17 |
27/07/2010 |
03/08/2015 |
|
Matured |
|
29/10/2025 |
Protected Growth |
27.79% |
5,365.67 |
UKX |
| CGA000P17OP1 |
FTSE Income Dep 17 Op1 Yly |
26/04/2011 |
26/04/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.50% |
6,069.36 |
UKX |
| G3YF000P26O1 |
FTSE 100 3 Year Deposit Plan 26 - option 1 |
01/08/2011 |
01/08/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,774.43 |
UKX |
| DGP04L26000I |
FTSE Dep Growth Plan 9 Op1 |
01/08/2011 |
01/08/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
7.66% |
5,774.43 |
UKX |
| GB00B3DHHC91 |
FTSE RPI Plan 3 ISA |
01/12/2008 |
09/12/2013 |
|
Matured |
|
29/10/2025 |
RPI Plan |
37.91% |
4,065.49 |
UKX |
| G3YF000P22O2 |
FTSE 3yr Dep 22 opt 2 INV |
17/01/2011 |
17/01/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
11.00% |
5,985.70 |
UKX |
| G3YF000P34O1 |
FTSE 100 3 Year Deposit Plan 34 - option 1 |
23/07/2012 |
23/07/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
17.00% |
5,533.87 |
UKX |
| DGP04L34000R |
FTSE Dep Growth Plan 17 Op2 |
23/07/2012 |
24/07/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
49.67% |
1,711.21 |
EVEN30 |
| GB00B6Z0XH43 |
FTSE Bonus Income18 Yly |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,553.24 |
UKX |
| GB00B3KVFG43 |
FTSE Enhanced Kickout 1 |
09/03/2009 |
09/03/2010 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.00% |
3,542.40 |
UKX |
| G3YF000P27O2 |
FTSE 100 3 Year Deposit Plan 27 - option 2 |
14/09/2011 |
15/09/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
11.00% |
5,227.02 |
UKX |
| CGA3FP00000P1 |
FTSE Plus Inc1 3yr INV Yly |
30/11/2009 |
30/11/2012 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
15.15% |
5,190.68 |
UKX |
| DGP04L28000R |
FTSE Dep Growth Plan 11 Op2 |
26/10/2011 |
26/10/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
41.37% |
1,638.17 |
EVEN30 |
| GB00B67FPD70 |
FTSE RPI Plan 9 ISA |
07/09/2009 |
15/09/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
44.72% |
4,933.18 |
UKX |
| GB00B55T2N38 |
FTSE RPI Plan 6 ISA |
05/05/2009 |
12/05/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
44.66% |
4,336.94 |
UKX |
| GB00B3XYS837 |
FTSE Enhanced Kickout 3 |
15/06/2009 |
15/06/2010 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.00% |
4,326.01 |
UKX |
| GB00B78QS937 |
FTSE Bonus Income 20 Yly |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
36.25% |
5,681.61 |
UKX |
| CGA5FP00000P1 |
Capital Guaranteed FTSE 100 Plus Income Plan 1 - Investec version - Annual |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
35.00% |
5,190.68 |
UKX |
| GKO5Y2001P37 |
FTSE 100 KO Deposit 32 |
26/11/2012 |
26/11/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
9.50% |
5,786.72 |
UKX |
| GB00B4NMBG36 |
FTSE 100 Gilt Backed Growth Plan 25 Op 2 |
01/08/2011 |
01/08/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
34.26% |
1,619.78 |
EVEN30 |
| G5YF000P1201L |
Guaranteed 5 Year FTSE 100 Plan 12 - Lloyds version - option 1 |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
31.00% |
5,190.68 |
UKX |
| GB00B6Z0XN03 |
FTSE Bonus Income18 Mth COL |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
29.88% |
5,553.24 |
UKX |
| G5YF00P22O1R |
FTSE 5yr Dep 22 op1 RBS |
17/01/2011 |
18/01/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
25.00% |
5,985.70 |
UKX |
| G3YF000P33O2 |
FTSE 100 3 Year Deposit Plan 33 - option 2 |
11/06/2012 |
11/06/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
14.25% |
5,432.37 |
UKX |
| CGPIAF3YP10L |
FTSE Plus Inc1 3yr LLO Yly |
30/11/2009 |
30/11/2012 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
12.75% |
5,190.68 |
UKX |
| DGP01L200001 |
FTSE 100 Deposit Growth Plan 3 - Investec version |
19/10/2010 |
19/10/2015 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
15.63% |
5,703.89 |
UKX |
| G5YF00P23O1R |
FTSE 5yr Dep 23 op1 RBS |
28/02/2011 |
29/02/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.50% |
5,994.01 |
UKX |
| G5YF0000P5O1 |
Gtd 5yr FTSE 5 op1 (dep) |
26/01/2009 |
27/01/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
4,209.01 |
UKX |
| GB00B6Q6W632 |
Geared Returns 32 INV |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
76.00% |
5,758.11 |
UKX |
| GB00B55T2J91 |
Geared Returns Plan 7 |
05/05/2009 |
12/05/2014 |
|
Matured |
|
29/10/2025 |
Geared Returns |
100.00% |
4,336.94 |
UKX |
| GB00B3T2GG50 |
FTSE 100 Gilt Backed Growth Plan 23 Op 2 |
26/04/2011 |
26/04/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
32.33% |
1,652.87 |
EVEN30 |
| GB00B703R396 |
FTSE Bonus Income19 Mth ISA |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.36% |
5,546.91 |
UKX |
| G5YF0000P5O2 |
Gtd 5yr FTSE 5 op2 (dep) |
26/01/2009 |
27/01/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
4,209.01 |
UKX |
| CGM0000000P3 |
Capital Guaranteed 5 Year FTSE 100 Income Plan 3 - Option 1 - Monthly |
07/09/2009 |
08/09/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
30.00% |
4,933.18 |
UKX |
| GB00B52MZK36 |
FTSE 100 Gilt Backed Growth Plan 24 Op 1 |
20/06/2011 |
20/06/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
30.57% |
5,693.39 |
UKX |
| G3YF000P27O1 |
FTSE 100 3 Year Deposit Plan 27 - option 1 |
14/09/2011 |
15/09/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
14.00% |
5,227.02 |
UKX |
| GKO5Y1000P24 |
FTSE 100 KO Deposit 24 Op1 |
07/12/2011 |
07/12/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
5.50% |
5,546.91 |
UKX |
| GKO5Y000P801 |
FTSE 100 Kickout Deposit 8 |
04/01/2010 |
04/01/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.00% |
5,500.34 |
UKX |
| CGPIMF5Y000L |
FTSE 100 Plus Income Deposit Plan 2 - Lloyds version - Monthly |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
25.50% |
5,500.34 |
UKX |
| GB00B8FJGJ88 |
FTSE Enhanced Kickout 30 INV |
03/09/2012 |
03/09/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.00% |
5,758.41 |
UKX |
| GB00B67FNC24 |
FTSE 100 Protected Growth Plan 9 |
07/09/2009 |
15/09/2014 |
|
Matured |
|
29/10/2025 |
Protected Growth |
36.68% |
4,933.18 |
UKX |
| CGA000P16OP1 |
FTSE Income Dep 16 Op1 Yly |
28/02/2011 |
29/02/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.25% |
5,994.01 |
UKX |
| G3YF000P35O1 |
FTSE 100 3 Year Deposit Plan 35 - option 1 |
03/09/2012 |
03/09/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
16.00% |
5,758.41 |
UKX |
| XS0468101711 |
FTSE Enhanced Kickout 8 MS |
04/01/2010 |
04/01/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.00% |
5,500.34 |
UKX |
| GB00B5VS7514 |
FTSE 100 Growth Plan 21 |
17/01/2011 |
25/01/2016 |
|
Matured |
|
29/10/2025 |
Protected Growth |
4.38% |
5,985.70 |
UKX |
| GB00B62T4S29 |
FTSE 100 Gilt Backed Growth Plan 26 Op 2 |
14/09/2011 |
14/09/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
39.69% |
1,556.33 |
EVEN30 |
| GB00B4Z1NG24 |
FTSE RPI Plan 8 ISA |
27/07/2009 |
04/08/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
44.63% |
4,586.13 |
UKX |
| GB00B3Y9CF25 |
FTSE Bonus Income 21 Mth COL |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.08% |
5,892.75 |
UKX |
| GB00B707XT95 |
FTSE Enhanced Kickout 31 INV |
15/10/2012 |
15/10/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.00% |
5,805.61 |
UKX |
| G3YF000P37O1 |
FTSE 100 3 Year Deposit Plan 37 |
26/11/2012 |
26/11/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,786.72 |
UKX |
| GB00B78RVQ47 |
FTSE Enhanced Kickout 25 COL |
31/01/2012 |
31/01/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
5,681.61 |
UKX |
| GB00B6Z0XJ66 |
FTSE Bonus Income18 Mth |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.08% |
5,553.24 |
UKX |
| GB00B7NCHT91 |
FTSE Enhanced Kickout 29 INV 0% Commission |
23/07/2012 |
23/07/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.20% |
5,533.87 |
UKX |
| GKO5Y000P132 |
FTSE 100 KO Deposit 13 Op2 |
27/07/2010 |
29/07/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
18.00% |
5,365.67 |
UKX |
| GB00B78QN326 |
Geared Returns 34 COL |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
65.00% |
5,533.87 |
UKX |
| GB00B8FGKQ45 |
FTSE Bonus Income 25 Yly COL |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,758.41 |
UKX |
| GKO5Y000P5O1 |
Gtd 5yr FTSE KO Plan5 Opt1 |
07/09/2009 |
07/09/2011 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
16.00% |
4,933.18 |
UKX |
| GB00B63ZT409 |
FTSE 100 Geared Returns Plan 16 - Investec version - option 1 |
05/05/2010 |
12/05/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
75.00% |
5,341.93 |
UKX |
| G3YF000P2002 |
FTSE 3yr Dep 20 opt 2 INV |
19/10/2010 |
21/10/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
12.00% |
5,703.89 |
UKX |
| GB00B89V9L38 |
FTSE Bonus Income 26 Mth |
15/10/2012 |
23/10/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
36.60% |
5,805.61 |
UKX |
| G3YF000P10O2 |
Gtd 3yr FTSE 10 op2 (dep) |
07/09/2009 |
07/09/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
19.00% |
4,933.18 |
UKX |
| G5YF000P1401 |
FTSE 100 5 Year Deposit Plan 14 - Investec version - option 1 |
15/02/2010 |
16/02/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
38.00% |
5,167.47 |
UKX |
| GB00B603GZ77 |
FTSE 100 Geared Returns Plan 15 - Investec version - option 2 |
22/03/2010 |
30/03/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
57.50% |
5,644.54 |
UKX |
| GB00B638LL00 |
FTSE 100 Protected Growth Plan 15 |
05/05/2010 |
12/05/2015 |
|
Matured |
|
29/10/2025 |
Protected Growth |
26.97% |
5,341.93 |
UKX |
| GB00B659JH38 |
FTSE Bonus Income6 Yly Non |
05/05/2010 |
12/05/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,341.93 |
UKX |
| DGP01L180002 |
FTSE 100 Deposit Growth Plan 1 - Lloyds version |
27/07/2010 |
27/07/2015 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
27.94% |
5,365.67 |
UKX |
| G5YF00P25O2L |
FTSE 5yr Dep 25 op2 |
20/06/2011 |
20/06/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.00% |
5,693.39 |
UKX |
| GB00B8FGL058 |
FTSE Bonus Income 25 Yly COL ISA |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,758.41 |
UKX |
| GB00B50ZDG68 |
Geared Returns 23 Opt1 |
28/02/2011 |
07/03/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
5,994.01 |
UKX |
| G3YF000P24O1 |
FTSE 3yr Dep 24 opt 1 INV |
26/04/2011 |
28/04/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
6,069.36 |
UKX |
| G3YF000P25O1 |
FTSE 3yr Dep 25 opt 1 |
20/06/2011 |
20/06/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,693.39 |
UKX |
| GB00B6X4CT37 |
Geared Returns 30 COL |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
62.50% |
5,681.61 |
UKX |
| G5YF000P1801 |
FTSE 100 5 Year Deposit Plan 18 - Investec version - option 1 |
27/07/2010 |
27/07/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
36.00% |
5,365.67 |
UKX |
| GB00B56VMJ47 |
FTSE 100 Protected Growth Plan 19 |
19/10/2010 |
26/10/2015 |
|
Matured |
|
29/10/2025 |
Protected Growth |
15.18% |
5,703.89 |
UKX |
| GB00B6VGQ991 |
Geared Returns 31 COL |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
65.00% |
5,892.75 |
UKX |
| GKO5Y000P3O2 |
Gtd 5yr FTSE KO Plan3 Opt2 |
15/06/2009 |
15/06/2010 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.00% |
4,326.01 |
UKX |
| ROF5Y0000P3L |
FTSE RollOver Dep3 LLO Yly |
15/02/2010 |
16/02/2015 |
|
Matured |
|
29/10/2025 |
Rollover Income |
25.00% |
5,167.47 |
UKX |
| DGP04L24000R |
FTSE Dep Growth Plan 7 Op2 |
26/04/2011 |
26/04/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
32.99% |
1,652.87 |
EVEN30 |
| GB00B4R20D97 |
FTSE Bonus Income 21 Yly ISA |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,892.75 |
UKX |
| GB00B7V3T546 |
FTSE Bonus Income 24 Yly COL ISA |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,533.87 |
UKX |
| GB00B3DHH639 |
FTSE RPI Plan 3 Non ISA |
01/12/2008 |
09/12/2013 |
|
Matured |
|
29/10/2025 |
RPI Plan |
37.91% |
4,065.49 |
UKX |
| G5YF000P1402 |
FTSE 100 5 Year Deposit Plan 14 - Investec version - option 2 |
15/02/2010 |
16/02/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
28.00% |
5,167.47 |
UKX |
| GB00B78RB089 |
FTSE Bonus Income 20 Yly COL ISA |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.75% |
5,681.61 |
UKX |
| G5YF00P1301L |
FTSE 100 5 Year Deposit Plan 13 - Lloyds version - option 1 |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
32.50% |
5,500.34 |
UKX |
| GB00B5P2WN21 |
FTSE Enhanced Kickout 12 INV |
15/06/2010 |
15/06/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
5,217.82 |
UKX |
| GB00B70G0Q25 |
FTSE Enhanced Kickout 25 INV |
31/01/2012 |
31/01/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.50% |
5,681.61 |
UKX |
| GB00B5BH7701 |
FTSE Enhanced Kickout 15 SAN |
19/10/2010 |
19/10/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
20.50% |
5,703.89 |
UKX |
| GB00B4LF3R99 |
FTSE Bonus Income11 Yly Non |
30/11/2010 |
08/12/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
41.00% |
5,528.27 |
UKX |
| CGM000P16OP1 |
FTSE Income Dep 16 Op1 Mth |
28/02/2011 |
29/02/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
19.80% |
5,994.01 |
UKX |
| DGP04L35000I |
FTSE Dep Growth Plan 18 Op1 |
03/09/2012 |
04/09/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
28.32% |
5,758.41 |
UKX |
| GB00B42HWF51 |
FTSE 100 Geared Returns Plan 21 |
30/11/2010 |
08/12/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
5,528.27 |
UKX |
| GB00B6Z0XP27 |
FTSE Bonus Income18 Mth ISA COL |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
29.88% |
5,553.24 |
UKX |
| G3YF0000P4O2 |
Gtd 3yr FTSE 4 op2 (dep) |
01/12/2008 |
01/12/2011 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
22.50% |
4,065.49 |
UKX |
| GB00B3PR7D81 |
FTSE 100 Geared Returns Plan 17 |
15/06/2010 |
22/06/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
5,217.82 |
UKX |
| CGA000P10OP2 |
FTSE 100 Income Deposit Plan 10 - Option 2 - Annual |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.50% |
5,217.82 |
UKX |
| GB00B615ZS87 |
FTSE Bonus Income17 Yly COL |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.25% |
5,227.02 |
UKX |
| GB00B8FYCH36 |
FTSE Bonus Income 27 Mth |
26/11/2012 |
04/12/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
36.60% |
5,786.72 |
UKX |
| GB00B82WVB74 |
FTSE Bonus Income 24 Mth ISA COL |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.20% |
5,533.87 |
UKX |
| GB00B8F9QB05 |
Accelerated Growth Plan 35 |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
76.51% |
5,758.41 |
UKX |
| CGA3F00000P1 |
3yr Gtd FTSE Inc 1 Op1 Yly |
07/09/2009 |
07/09/2012 |
|
Matured |
|
29/10/2025 |
Income Deposit |
15.30% |
4,933.18 |
UKX |
| GB00B528V589 |
FTSE 100 Accelerated Growth Plan 18 |
27/07/2010 |
03/08/2015 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
55.57% |
5,365.67 |
UKX |
| DGP04L28000I |
FTSE Dep Growth Plan 11 Op1 |
26/10/2011 |
26/10/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
18.61% |
5,553.24 |
UKX |
| GB00B74BXM09 |
FTSE Enhanced Kickout 27 INV |
02/05/2012 |
02/05/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.00% |
5,758.11 |
UKX |
| GPIAF5YP5OP2 |
FTSE 100 Plus Income Deposit Plan 5 - Option 2 - Annual |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
23.75% |
5,341.93 |
UKX |
| GB00B3M0Q550 |
FTSE 100 Bonus Income Plan 7 - Annual - ISA |
15/06/2010 |
22/06/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
35.00% |
5,217.82 |
UKX |
| GB00B4010G65 |
FTSE Bonus Income14 Mth |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.68% |
6,069.36 |
UKX |
| G5YF0000P6O2 |
Gtd 5yr FTSE 6 op2 (dep) |
09/03/2009 |
10/03/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
3,542.40 |
UKX |
| GB00B3VC0C71 |
FTSE Enhanced Kickout 14 RBS |
07/09/2010 |
07/09/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
20.50% |
5,407.82 |
UKX |
| GKO5Y2000P21 |
FTSE 100 KO Deposit 21 Op 2 |
01/08/2011 |
01/08/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.75% |
5,774.43 |
UKX |
| G5YF00P27O2L |
FTSE 5yr Dep 27 op2 |
14/09/2011 |
14/09/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
25.00% |
5,227.02 |
UKX |
| GB00B708RD41 |
FTSE Bonus Income 20 Yly ISA |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
36.25% |
5,681.61 |
UKX |
| GKO5Y2000P27 |
FTSE 100 KO Deposit 27 |
02/05/2012 |
02/05/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.50% |
5,758.11 |
UKX |
| GB00B6WGCT01 |
FTSE Bonus Income 21 Mth ISA COL |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.08% |
5,892.75 |
UKX |
| G5YF00P28O2L |
FTSE 5yr Dep 28 op2 |
26/10/2011 |
26/10/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
20.00% |
5,553.24 |
UKX |
| G5YF00P1701L |
FTSE 100 5 Year Deposit Plan 17 - Lloyds version - option 1 |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
31.00% |
5,217.82 |
UKX |
| CGM000P19OP1 |
FTSE Income Dep 19 Op1 Yly |
01/08/2011 |
01/08/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.25% |
5,774.43 |
UKX |
| GB00B8FN3226 |
FTSE 100 Defensive Returns Plan 3 |
03/09/2012 |
03/09/2018 |
|
Matured |
|
29/10/2025 |
Defensive Returns |
30.22% |
5,758.41 |
UKX |
| GB00B3KVF977 |
FTSE RPI Plan 5 ISA |
09/03/2009 |
17/03/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
42.24% |
3,542.40 |
UKX |
| CGM0000000P4 |
5yr Gtd FTSE 100 Inc 4 Mth |
19/10/2009 |
20/10/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
28.00% |
5,281.54 |
UKX |
| G5YF000P22O2 |
FTSE 5yr Dep 22 op2 INVEST |
17/01/2011 |
18/01/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
24.00% |
5,985.70 |
UKX |
| GB00B3NLTB41 |
FTSE Bonus Income14 Yly ISA COL |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.00% |
6,069.36 |
UKX |
| GB00B7GMD871 |
FTSE Bonus Income 22 Yly ISA |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,758.11 |
UKX |
| GB00B67FMB42 |
FTSE RPI Plan 9 Non ISA |
07/09/2009 |
15/09/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
44.72% |
4,933.18 |
UKX |
| GB00B5VTXM34 |
Geared Returns 25 INV |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
67.50% |
5,693.39 |
UKX |
| GB00B3FJQM60 |
FTSE 100 Prot 5yr Plan 4 |
26/01/2009 |
03/02/2014 |
|
Matured |
|
29/10/2025 |
Protected Growth |
56.96% |
4,209.01 |
UKX |
| G5YF00P1401L |
FTSE 100 5 Year Deposit Plan 14 - Lloyds version - option 1 |
15/02/2010 |
16/02/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
32.50% |
5,167.47 |
UKX |
| GB00B547W942 |
FTSE Bonus Income13 Yly Non |
28/02/2011 |
07/03/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
35.75% |
5,994.01 |
UKX |
| GB00B7W27569 |
Geared Returns 37 INV |
26/11/2012 |
04/12/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
80.00% |
5,786.72 |
UKX |
| GB00B3KVDT32 |
FTSE 100 Prot 5yr Plan 5 |
09/03/2009 |
17/03/2014 |
|
Matured |
|
29/10/2025 |
Protected Growth |
75.00% |
3,542.40 |
UKX |
| ROF5Y0000P2L |
FTSE RollOver Dep2 LLO Yly |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
Rollover Income |
27.50% |
5,500.34 |
UKX |
| DGP04L29000R |
FTSE Dep Growth Plan 12 Op2 |
07/12/2011 |
07/12/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
41.98% |
1,626.57 |
EVEN30 |
| GB00B56MQV71 |
FTSE 100 Geared Returns Plan 13 - Investec version |
04/01/2010 |
12/01/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
5,500.34 |
UKX |
| GB00B70DJX30 |
FTSE Bonus Income 20 Mth COL |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.28% |
5,681.61 |
UKX |
| GB00B4LWPL82 |
FTSE Enhanced Kickout 32 COL |
26/11/2012 |
26/11/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.50% |
5,786.72 |
UKX |
| GB00B3BPBC32 |
FTSE RPI Plan ISA |
08/09/2008 |
16/09/2013 |
|
Matured |
|
29/10/2025 |
RPI Plan |
39.25% |
5,446.30 |
UKX |
| G5YF000P10O2 |
Guaranteed 5 Year FTSE 100 Plan 10 - option 2 |
07/09/2009 |
08/09/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
35.00% |
4,933.18 |
UKX |
| GB00B3QBQS77 |
Geared Returns 26 COL |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
62.50% |
5,774.43 |
UKX |
| G3YF000P22O1 |
FTSE 3yr Dep 22 opt 1 INV |
17/01/2011 |
17/01/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
14.00% |
5,985.70 |
UKX |
| GB00B4XZ8T46 |
FTSE Bonus Income19 Mth ISA COL |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.16% |
5,546.91 |
UKX |
| GB00B6QP8P16 |
FTSE Bonus Income 23 Yly ISA |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,432.37 |
UKX |
| G3YF000P1602 |
FTSE 3yr Dep 16 Opt 2 INV |
05/05/2010 |
07/05/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,341.93 |
UKX |
| CGM000P14OP2 |
FTSE 100 Income Deposit Plan 14 Op2 Mth |
30/11/2010 |
30/11/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
19.80% |
5,528.27 |
UKX |
| G3YF000P1401 |
FTSE 3yr Dep 14 Opt 1 INV |
15/02/2010 |
15/02/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
18.00% |
5,167.47 |
UKX |
| GA0000P10OP1 |
FTSE 100 Income Deposit Plan 10 - Option 1 - Annual |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
23.75% |
5,217.82 |
UKX |
| G3YF000P36O1 |
FTSE 100 3 Year Deposit Plan 36 - option 1 |
15/10/2012 |
15/10/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,805.61 |
UKX |
| CGA0000000P2 |
Cap Gtd FTSE 100 Inc 2 Yly |
27/07/2009 |
28/07/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
30.00% |
4,586.13 |
UKX |
| CGM0000000P7 |
FTSE 100 Income Deposit Plan 7 Mth |
15/02/2010 |
16/02/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
23.40% |
5,167.47 |
UKX |
| GB00B409T297 |
FTSE Bonus Income9 Mth Non |
07/09/2010 |
14/09/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.40% |
5,407.82 |
UKX |
| DGP04L21000I |
FTSE 100 Deposit Growth Plan 4 - Investec version |
30/11/2010 |
30/11/2015 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
16.72% |
5,528.27 |
UKX |
| G5YF00P24O1R |
FTSE 5yr Dep 24 op1 RBS |
26/04/2011 |
26/04/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
33.00% |
6,069.36 |
UKX |
| GB00B54X1V75 |
FTSE 100 Gilt Backed Growth Plan 26 Op 1 |
14/09/2011 |
14/09/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
43.03% |
5,227.02 |
UKX |
| G5YF000P11O1 |
Guaranteed 5 Year FTSE 100 Plan 11 - option 1 |
19/10/2009 |
20/10/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
5,281.54 |
UKX |
| GB00B62S3045 |
FTSE Enhanced Kickout 10 RBS |
22/03/2010 |
22/03/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.50% |
5,644.54 |
UKX |
| G5YF000P22O1 |
FTSE 5yr Dep 22 op1 INVEST |
17/01/2011 |
18/01/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
31.50% |
5,985.70 |
UKX |
| GB00B8FN1402 |
FTSE Enhanced Kickout 30 COL 0% Commission |
03/09/2012 |
03/09/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.50% |
5,758.41 |
UKX |
| GB00B2RFTL51 |
Geared Returns Plan |
28/07/2008 |
05/08/2013 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
5,312.60 |
UKX |
| GKO5Y0000P17 |
FTSE 100 KO Deposit 17 Op1 |
17/01/2011 |
17/01/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
9.50% |
5,985.70 |
UKX |
| G3YF0000P5O2 |
Gtd 3yr FTSE 5 op2 (dep) |
26/01/2009 |
26/01/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
30.00% |
4,209.01 |
UKX |
| G3YF0000P8O2 |
Gtd 3yr FTSE 8 op2 (dep) |
15/06/2009 |
15/06/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
25.00% |
4,326.01 |
UKX |
| GKO5Y0000P16 |
FTSE 100 KO Deposit 16 Op1 |
30/11/2010 |
30/11/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.00% |
5,528.27 |
UKX |
| GB00B4RHF391 |
FTSE Bonus Income17 Yly ISA |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,227.02 |
UKX |
| DGP04L29000I |
FTSE Dep Growth Plan 12 Op1 |
07/12/2011 |
07/12/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
21.23% |
5,546.91 |
UKX |
| CGPIMF3YP10L |
FTSE Plus Inc1 3yr LLO Mth |
30/11/2009 |
30/11/2012 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
12.24% |
5,190.68 |
UKX |
| GB00B3W4LG30 |
FTSE Bonus Income14 Mth ISA |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.68% |
6,069.36 |
UKX |
| GB00B7514S24 |
FTSE Bonus Income 22 Mth COL |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.48% |
5,758.11 |
UKX |
| GB00B7YH1911 |
FTSE Bonus Income 23 Mth ISA COL |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.60% |
5,432.37 |
UKX |
| GB00B7RKZB79 |
FTSE Bonus Income 27 Mth ISA |
26/11/2012 |
04/12/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
36.60% |
5,786.72 |
UKX |
| CGA0000000P4 |
5yr Gtd FTSE 100 Inc 4 Yly |
19/10/2009 |
20/10/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
30.00% |
5,281.54 |
UKX |
| G3YF000P12O2 |
Gtd 3yr FTSE 12 op2 INVEST |
30/11/2009 |
30/11/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,190.68 |
UKX |
| DGP04L22000I |
FTSE Dep Growth Plan 5 INV |
17/01/2011 |
18/01/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
5.02% |
5,985.70 |
UKX |
| GB00B7PG4S73 |
FTSE Bonus Income 26 Mth ISA |
15/10/2012 |
23/10/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
36.60% |
5,805.61 |
UKX |
| G3YF0000P4O1 |
Gtd 3yr FTSE 4 op1 (dep) |
01/12/2008 |
01/12/2011 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
30.00% |
4,065.49 |
UKX |
| CGM000P12OP1 |
FTSE 100 Income Deposit Plan 12 Op1 Mth |
07/09/2010 |
07/09/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.20% |
5,407.82 |
UKX |
| DGP04L21000R |
FTSE 100 Deposit Growth Plan 4 - RBS version |
30/11/2010 |
30/11/2015 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
16.72% |
5,528.27 |
UKX |
| GB00B78RM490 |
FTSE Bonus Income 20 Mth |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.68% |
5,681.61 |
UKX |
| GB00B48MM106 |
FTSE Bonus Income 21 Mth |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
36.28% |
5,892.75 |
UKX |
| G5YF000P1502 |
FTSE 100 5 Year Deposit Plan 15 - Investec version - option 2 |
22/03/2010 |
23/03/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
30.00% |
5,644.54 |
UKX |
| GB00B642XK43 |
FTSE Bonus Income15 Yly ISA COL |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.00% |
5,693.39 |
UKX |
| G5YF0000P9O1 |
Gtd 5yr FTSE 9 op1 (dep) |
27/07/2009 |
28/07/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
4,586.13 |
UKX |
| CGA000P14OP1 |
FTSE 100 Income Deposit Plan 14 Op1 Yly |
30/11/2010 |
30/11/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.00% |
5,528.27 |
UKX |
| CGM000P17OP1 |
FTSE Income Dep 17 Op2 Mth |
26/04/2011 |
26/04/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.60% |
6,069.36 |
UKX |
| CGA000P14OP2 |
FTSE 100 Income Deposit Plan 14 Op2 Yly |
30/11/2010 |
30/11/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.50% |
5,528.27 |
UKX |
| GB00B60BQ170 |
FTSE Enhanced Kickout 20 COL |
20/06/2011 |
20/06/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
19.50% |
5,693.39 |
UKX |
| GB00B3DHGV16 |
Geared Returns Plan 4 |
01/12/2008 |
09/12/2013 |
|
Matured |
|
29/10/2025 |
Geared Returns |
80.00% |
4,065.49 |
UKX |
| G3YF000P1402 |
FTSE 3yr Dep 14 Opt 2 INV |
15/02/2010 |
15/02/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,167.47 |
UKX |
| G3YF000P30O1 |
FTSE 100 3 Year Deposit Plan 30 - option 1 |
31/01/2012 |
02/02/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
19.00% |
5,681.61 |
UKX |
| GKO5Y2000P28 |
FTSE 100 KO Deposit 28 |
11/06/2012 |
11/06/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.00% |
5,432.37 |
UKX |
| GB00B627P839 |
FTSE Enhanced Kickout 11 RBS |
05/05/2010 |
04/05/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.25% |
5,341.93 |
UKX |
| GB00B46BNH29 |
FTSE 100 Protected Growth Plan 18 |
07/09/2010 |
14/09/2015 |
|
Matured |
|
29/10/2025 |
Protected Growth |
24.60% |
5,407.82 |
UKX |
| G5YF000P202R |
FTSE 100 5 Year Deposit Plan 20 - RBS version - option 2 |
19/10/2010 |
19/10/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
22.50% |
5,703.89 |
UKX |
| GB00B8F8XW77 |
Geared Returns 35 COL |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
66.00% |
5,758.41 |
UKX |
| GB00B3XYR532 |
FTSE 100 Prot 5yr Plan 7 |
15/06/2009 |
23/06/2014 |
|
Matured |
|
29/10/2025 |
Protected Growth |
55.31% |
4,326.01 |
UKX |
| GB00B4ZWQN34 |
FTSE Bonus Income 21 Mth ISA |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
36.28% |
5,892.75 |
UKX |
| CGM5V00000P3 |
Capital Guaranteed 5 Year FTSE 100 Income Plan 3 - Option 2 - Monthly |
07/09/2009 |
08/09/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
15.32% |
4,933.18 |
UKX |
| GB00B60DPF02 |
FTSE 100 Geared Returns Plan 15 - Investec version - option 1 |
22/03/2010 |
30/03/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
75.00% |
5,644.54 |
UKX |
| CGM0000000P2 |
Cap Gtd FTSE 100 Inc 2 Mth |
27/07/2009 |
28/07/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
28.80% |
4,586.13 |
UKX |
| GB00B575DC55 |
FTSE Enhanced Kickout 8 INV |
04/01/2010 |
04/01/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
5,500.34 |
UKX |
| GB00B5MXW615 |
Accelerated Growth Plan 22 |
17/01/2011 |
25/01/2016 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
8.77% |
5,985.70 |
UKX |
| DGP04L30000I |
FTSE Dep Growth Plan 13 Op1 |
31/01/2012 |
31/01/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
22.02% |
5,681.61 |
UKX |
| GB00B7JXH527 |
FTSE Enhanced Kickout 29 COL |
23/07/2012 |
23/07/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.50% |
5,533.87 |
UKX |
| G3YF0000P2O2 |
Gtd 3yr FTSE 2 op2 (dep) |
08/09/2008 |
08/09/2011 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
2.94% |
5,446.30 |
UKX |
| GB00B4LCK247 |
FTSE Bonus Income16 Mth |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.96% |
5,774.43 |
UKX |
| G3YF000P1302 |
FTSE 3yr Dep 13 Opt 2 INV |
04/01/2010 |
04/01/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,500.34 |
UKX |
| G5YF000P192R |
FTSE 100 5 Year Deposit Plan 19 - RBS version - option 2 |
07/09/2010 |
07/09/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
22.50% |
5,407.82 |
UKX |
| G3YF000P1902 |
FTSE 3yr Dep 19 Opt 2 INV |
07/09/2010 |
09/09/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
12.00% |
5,407.82 |
UKX |
| GB00B849VK53 |
FTSE 100 6yr Kickout Plan 3 INV |
23/07/2012 |
23/07/2013 |
|
Matured |
|
29/10/2025 |
6 Year Kickout |
11.00% |
5,533.87 |
UKX |
| G5YF0000P6O1 |
Gtd 5yr FTSE 6 op1 (dep) |
09/03/2009 |
10/03/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
3,542.40 |
UKX |
| G5YF00P26O1L |
FTSE 5yr Dep 26 op1 |
01/08/2011 |
01/08/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
33.00% |
5,774.43 |
UKX |
| GB00B887FB40 |
FTSE Bonus Income 27 Mth COL |
26/11/2012 |
04/12/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.60% |
5,786.72 |
UKX |
| G5YF000P23O1 |
FTSE 5yr Dep 23 op1 INVEST |
28/02/2011 |
29/02/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
32.50% |
5,994.01 |
UKX |
| DGP04L30000R |
FTSE Dep Growth Plan 13 Op2 |
31/01/2012 |
31/01/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
42.03% |
1,624.41 |
EVEN30 |
| DGP04L31000R |
FTSE Dep Growth Plan 14 Op2 |
12/03/2012 |
13/03/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
36.38% |
1,711.42 |
EVEN30 |
| GB00B61GSY85 |
FTSE 100 Geared Returns Plan 15 - RBS version - option 1 |
22/03/2010 |
30/03/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
62.50% |
5,644.54 |
UKX |
| GB00B5PQ4N89 |
FTSE Enhanced Kickout 17 INV |
17/01/2011 |
17/01/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
22.50% |
5,985.70 |
UKX |
| GB00B3RHK377 |
FTSE Bonus Income14 Mth ISA COL |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.28% |
6,069.36 |
UKX |
| G3YF0000P3O2 |
Gtd 3yr FTSE 3 op2 (dep) |
20/10/2008 |
20/10/2011 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
24.73% |
4,282.67 |
UKX |
| GB00B7YH0H21 |
FTSE Bonus Income 23 Mth ISA |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.20% |
5,432.37 |
UKX |
| G3YF0000P8O1 |
Gtd 3yr FTSE 8 op1 (dep) |
15/06/2009 |
15/06/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
25.00% |
4,326.01 |
UKX |
| GKO5Y2000P30 |
FTSE 100 KO Deposit 30 0% Commission |
03/09/2012 |
03/09/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.40% |
5,758.41 |
UKX |
| GB00B3BPB787 |
FTSE RPI Plan Non ISA |
08/09/2008 |
16/09/2013 |
|
Matured |
|
29/10/2025 |
RPI Plan |
39.25% |
5,446.30 |
UKX |
| GKO5Y00000P1 |
Gtd 5yr FTSE Kickout Plan1 |
09/03/2009 |
09/03/2010 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.00% |
3,542.40 |
UKX |
| GB00B42W4G52 |
5yr FTSE Bonus Income1 Mth |
19/10/2009 |
27/10/2014 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.32% |
5,281.54 |
UKX |
| GB00B4V95C01 |
FTSE 100 Protected Growth Plan 11 |
30/11/2009 |
08/12/2014 |
|
Matured |
|
29/10/2025 |
Protected Growth |
28.72% |
5,190.68 |
UKX |
| GB00B5NHCP14 |
FTSE Bonus Income12 Yly Non |
17/01/2011 |
25/01/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.00% |
5,985.70 |
UKX |
| GB00B55F7R04 |
FTSE Bonus Income13 Mth Non |
28/02/2011 |
07/03/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.92% |
5,994.01 |
UKX |
| GB00B5BPQH79 |
FTSE Bonus Income8 Yly ISA |
27/07/2010 |
03/08/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,365.67 |
UKX |
| CGM000P15OP1 |
FTSE Income Dep 15 Op1 Mth |
17/01/2011 |
18/01/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
19.80% |
5,985.70 |
UKX |
| GB00B50T7X32 |
FTSE Bonus Income17 Mth |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.20% |
5,227.02 |
UKX |
| GB00B6X3Z468 |
FTSE Enhanced Kickout 29 INV |
23/07/2012 |
23/07/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.00% |
5,533.87 |
UKX |
| GB00B3FJR126 |
FTSE RPI Plan 4 Non ISA |
26/01/2009 |
03/02/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
40.95% |
4,209.01 |
UKX |
| CGA3V00000P1 |
3yr Gtd FTSE Inc 1 Op2 Yly |
07/09/2009 |
07/09/2012 |
|
Matured |
|
29/10/2025 |
Income Deposit |
6.00% |
4,933.18 |
UKX |
| GB00B4255725 |
FTSE Bonus Income16 Yly ISA COL |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.00% |
5,774.43 |
UKX |
| GPIAF5YP6OP2 |
FTSE 100 Plus Income Deposit Plan 6 - Option 2 - Annual |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
34.25% |
5,217.82 |
UKX |
| DGP04L32000R |
FTSE Dep Growth Plan 15 Op2 |
02/05/2012 |
02/05/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
36.72% |
1,691.99 |
EVEN30 |
| GB00B84Q0N28 |
FTSE Enhanced Kickout 31 INV 0% Commission |
15/10/2012 |
15/10/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.00% |
5,805.61 |
UKX |
| GB00B55T2K07 |
Accelerated Growth Plan 7 |
05/05/2009 |
12/05/2014 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
88.57% |
4,336.94 |
UKX |
| G5YF00P1602L |
FTSE 100 5 Year Deposit Plan 16 - Lloyds version - option 2 |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.50% |
5,341.93 |
UKX |
| G3YF000P35O2 |
FTSE 100 3 Year Deposit Plan 35 - option 2 |
03/09/2012 |
03/09/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
13.00% |
5,758.41 |
UKX |
| G3YF000P1601 |
FTSE 3yr Dep 16 Opt 1 INV |
05/05/2010 |
07/05/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
18.00% |
5,341.93 |
UKX |
| G5YF000P23O2 |
FTSE 5yr Dep 23 op2 INVEST |
28/02/2011 |
29/02/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
25.00% |
5,994.01 |
UKX |
| GB00B3P8XS81 |
FTSE Bonus Income19 Yly |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.75% |
5,546.91 |
UKX |
| GKO5Y000P6O1 |
Gtd 5yr FTSE KO Plan6 Opt1 |
19/10/2009 |
19/10/2011 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.00% |
5,281.54 |
UKX |
| GB00B3PLNR62 |
FTSE 100 Accelerated Growth Plan 17 |
15/06/2010 |
22/06/2015 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
62.42% |
5,217.82 |
UKX |
| CGA000P11OP2 |
FTSE 100 Income Deposit Plan 11 Op2 Yly |
27/07/2010 |
27/07/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.50% |
5,365.67 |
UKX |
| CGM000P13OP1 |
FTSE 100 Income Deposit Plan 13 Op1 Mth |
19/10/2010 |
19/10/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.20% |
5,703.89 |
UKX |
| GB00B7DB8156 |
FTSE Bonus Income 21 Yly COL ISA |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.75% |
5,892.75 |
UKX |
| G5YF000P24O2 |
FTSE 5yr Dep 24 op2 INVEST |
26/04/2011 |
26/04/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.50% |
6,069.36 |
UKX |
| CGM3FP00000P1 |
FTSE Plus Inc1 3yr INV Mth |
30/11/2009 |
30/11/2012 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
12.40% |
5,190.68 |
UKX |
| GB00B44M2K30 |
FTSE Bonus Income14 Mth COL |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.28% |
6,069.36 |
UKX |
| GB00B5L7G621 |
FTSE Bonus Income17 Yly ISA COL |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.25% |
5,227.02 |
UKX |
| G3YF0000P6O1 |
Gtd 3yr FTSE 6 op1 (dep) |
09/03/2009 |
09/03/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
25.00% |
3,542.40 |
UKX |
| GKO5Y000P6O2 |
Gtd 5yr FTSE KO Plan6 Opt2 |
19/10/2009 |
19/10/2010 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
5.75% |
5,281.54 |
UKX |
| CGM000P16OP2 |
FTSE Income Dep 16 Op2 Mth |
28/02/2011 |
29/02/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
19.20% |
5,994.01 |
UKX |
| GB00B587W344 |
FTSE Bonus Income17 Yly |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,227.02 |
UKX |
| GB00B8FJH621 |
Geared Returns 35 INV |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
80.00% |
5,758.41 |
UKX |
| GB00B8C0R571 |
FTSE Enhanced Kickout 31 COL |
15/10/2012 |
15/10/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
5,805.61 |
UKX |
| G5YF0000P7O1 |
Gtd 5yr FTSE 7 op1 (dep) |
05/05/2009 |
06/05/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
4,336.94 |
UKX |
| G3YF000P11O2 |
Gtd 3yr FTSE 11 op2 (dep) |
19/10/2009 |
19/10/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
17.00% |
5,281.54 |
UKX |
| ROF5Y000P04L |
FTSE RollOver Dep4 LLO Yly |
22/03/2010 |
23/03/2015 |
|
Matured |
|
29/10/2025 |
Rollover Income |
25.00% |
5,644.54 |
UKX |
| GB00B57DZ348 |
FTSE Bonus Income3 Mth ISA |
04/01/2010 |
12/01/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.20% |
5,500.34 |
UKX |
| GB00B53N5X80 |
FTSE Bonus Income4 Yly Non |
15/02/2010 |
25/02/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,167.47 |
UKX |
| G5YF00P25O1L |
FTSE 5yr Dep 25 op1 |
20/06/2011 |
20/06/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
35.00% |
5,693.39 |
UKX |
| GB00B6Z0XV86 |
FTSE Enhanced Kickout 23 INV |
26/10/2011 |
26/10/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.50% |
5,553.24 |
UKX |
| GB00B3CSW405 |
Accelerated Growth Plan 3 |
20/10/2008 |
28/10/2013 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
88.46% |
4,282.67 |
UKX |
| G5YF0000P4O1 |
Gtd 5yr FTSE 4 op1 (dep) |
01/12/2008 |
02/12/2013 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
55.00% |
4,065.49 |
UKX |
| CGM000P12OP2 |
FTSE 100 Income Deposit Plan 12 Op2 Mth |
07/09/2010 |
07/09/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.60% |
5,407.82 |
UKX |
| CGM000P20OP1 |
FTSE Income Dep 20 Op2 Mth |
14/09/2011 |
14/09/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
18.60% |
5,227.02 |
UKX |
| GB00B6Z0XL88 |
FTSE Bonus Income18 Yly ISA COL |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
28.75% |
5,553.24 |
UKX |
| GB00B7N1NS78 |
FTSE Bonus Income 22 Yly COL ISA |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.00% |
5,758.11 |
UKX |
| GKO5Y1000P26 |
FTSE 100 KO Deposit 26 Op1 |
12/03/2012 |
12/03/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
6.00% |
5,892.75 |
UKX |
| GB00B3XYS613 |
FTSE RPI Plan 7 ISA |
15/06/2009 |
23/06/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
44.72% |
4,326.01 |
UKX |
| GB00B42TJT41 |
5yr FTSE Bonus Income1 Yly |
19/10/2009 |
27/10/2014 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.32% |
5,281.54 |
UKX |
| GB00B5WLV686 |
FTSE Bonus Income15 Mth |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.08% |
5,693.39 |
UKX |
| GB00B7GRJK66 |
FTSE Bonus Income 24 Yly ISA |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
38.75% |
5,533.87 |
UKX |
| GKO5Y2000P37 |
FTSE 100 KO Deposit 32 0% Commission |
26/11/2012 |
26/11/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.00% |
5,786.72 |
UKX |
| GB00B59CKR80 |
FTSE Bonus Income10 Yly Non |
19/10/2010 |
26/10/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,703.89 |
UKX |
| GB00B5TFLP27 |
FTSE Enhanced Kickout 20 INV |
20/06/2011 |
20/06/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
21.50% |
5,693.39 |
UKX |
| GB00B78S0L51 |
FTSE Bonus Income 20 Yly COL |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.75% |
5,681.61 |
UKX |
| GB00B8H5V775 |
Geared Returns 36 INV |
15/10/2012 |
23/10/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
78.50% |
5,805.61 |
UKX |
| G5YF000P2002 |
FTSE 100 5 Year Deposit Plan 20 - Investec version - option 2 |
19/10/2010 |
19/10/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
25.00% |
5,703.89 |
UKX |
| GKO5Y2000P25 |
FTSE 100 KO Deposit 25 Op2 |
31/01/2012 |
31/01/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.50% |
5,681.61 |
UKX |
| DGP04L33000R |
FTSE Dep Growth Plan 16 Op2 |
11/06/2012 |
12/06/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
48.13% |
1,658.93 |
EVEN30 |
| GB00B7F0VV13 |
FTSE Enhanced Kickout 31 COL 0% Commission |
15/10/2012 |
15/10/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
14.00% |
5,805.61 |
UKX |
| G3YF000P1701 |
FTSE 3yr Dep 17 Opt 1 INV |
15/06/2010 |
17/06/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
16.00% |
5,217.82 |
UKX |
| GB00B593RM55 |
FTSE Enhanced Kickout 15 INV |
19/10/2010 |
19/10/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
24.00% |
5,703.89 |
UKX |
| GB00B63SHN44 |
FTSE Enhanced Kickout 22 INV |
14/09/2011 |
14/09/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.50% |
5,227.02 |
UKX |
| G3YF000P29O2 |
FTSE 100 3 Year Deposit Plan 29 - option 2 |
07/12/2011 |
08/12/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
14.50% |
5,546.91 |
UKX |
| GKO5Y2001P29 |
FTSE 100 KO Deposit 29 0% Commission |
23/07/2012 |
23/07/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
14.40% |
5,533.87 |
UKX |
| GB00B60CLC67 |
FTSE Bonus Income5 Yly ISA |
22/03/2010 |
30/03/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
40.00% |
5,644.54 |
UKX |
| GB00B3BPB456 |
Geared Returns Plan 2 |
08/09/2008 |
16/09/2013 |
|
Matured |
|
29/10/2025 |
Geared Returns |
80.00% |
5,446.30 |
UKX |
| GB00B7QN2051 |
FTSE 100 Defensive Kick-Out Plan 4 |
15/10/2012 |
15/10/2014 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
16.00% |
5,805.61 |
UKX |
| G5YF000P1902 |
FTSE 100 5 Year Deposit Plan 19 - Investec version - option 2 |
07/09/2010 |
07/09/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
25.00% |
5,407.82 |
UKX |
| GB00B4B0S244 |
FTSE Enhanced Kickout 14 INV |
07/09/2010 |
07/09/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
24.00% |
5,407.82 |
UKX |
| GB00B4T71Q23 |
FTSE Bonus Income16 Mth ISA COL |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.76% |
5,774.43 |
UKX |
| G3YF000P26O2 |
FTSE 100 3 Year Deposit Plan 26 - option 2 |
01/08/2011 |
01/08/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
12.00% |
5,774.43 |
UKX |
| GB00B40TWK86 |
FTSE Bonus Income16 Yly COL |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.00% |
5,774.43 |
UKX |
| GB00B54XN885 |
FTSE Bonus Income4 Yly ISA |
15/02/2010 |
25/02/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,167.47 |
UKX |
| GB00B77CWD49 |
Accelerated Growth Plan 34 |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
85.69% |
5,533.87 |
UKX |
| DGP04L37000R |
FTSE Dep Growth Plan 20 Op2 |
26/11/2012 |
27/11/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
41.18% |
1,748.81 |
EVEN30 |
| GG5Y000000P1 |
Gtd Growth Plan 5yr (dep) |
28/07/2008 |
29/07/2013 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
5,312.60 |
UKX |
| GB00B609YL75 |
FTSE Enhanced Kickout 10 INV |
22/03/2010 |
22/03/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
5,644.54 |
UKX |
| CGM000P13OP2 |
FTSE 100 Income Deposit Plan 13 Op2 Mth |
19/10/2010 |
19/10/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.60% |
5,703.89 |
UKX |
| CGA000P16OP2 |
FTSE Income Dep 16 Op2 Yly |
28/02/2011 |
29/02/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
20.00% |
5,994.01 |
UKX |
| GKO5Y1000P23 |
FTSE 100 KO Deposit 23 Op 1 |
26/10/2011 |
26/10/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
5.00% |
5,553.24 |
UKX |
| G5YF0000P8O2 |
Gtd 5yr FTSE 8 op2 (dep) |
15/06/2009 |
16/06/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
4,326.01 |
UKX |
| CGM5FP00000P1 |
Capital Guaranteed FTSE 100 Plus Income Plan 1 - Investec version - Monthly |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
33.60% |
5,190.68 |
UKX |
| GB00B5758X18 |
FTSE 100 Accelerated Growth Plan 13 |
04/01/2010 |
12/01/2015 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
38.86% |
5,500.34 |
UKX |
| G3YF000P32O2 |
FTSE 100 3 Year Deposit Plan 32 - option 2 |
02/05/2012 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,758.11 |
UKX |
| GB00B724HB86 |
Accelerated Growth Plan 33 |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
86.14% |
5,432.37 |
UKX |
| GB00B6718Y71 |
FTSE 100 Geared Returns Plan 10 |
07/09/2009 |
15/09/2014 |
|
Matured |
|
29/10/2025 |
Geared Returns |
95.00% |
4,933.18 |
UKX |
| GB00B71NNG32 |
FTSE Bonus Income 22 Yly |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,758.11 |
UKX |
| GKO5Y000P4O1 |
Gtd 5yr FTSE KO Plan4 Opt1 |
27/07/2009 |
27/07/2011 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
16.00% |
4,586.13 |
UKX |
| GB00B7MW4225 |
Geared Returns 33 COL |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
5,432.37 |
UKX |
| G3YF0000P7O2 |
Gtd 3yr FTSE 7 op2 (dep) |
05/05/2009 |
08/05/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
25.00% |
4,336.94 |
UKX |
| GB00B462MT02 |
FTSE Enhanced Kickout 6 |
19/10/2009 |
19/10/2010 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
12.50% |
5,281.54 |
UKX |
| GB00B4TTBV34 |
Geared Returns Plan 12 3yr |
30/11/2009 |
30/11/2012 |
|
Matured |
|
29/10/2025 |
Geared Returns |
35.00% |
5,190.68 |
UKX |
| G5YF00P1402L |
FTSE 100 5 Year Deposit Plan 14 - Lloyds version - option 2 |
15/02/2010 |
16/02/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.50% |
5,167.47 |
UKX |
| GB00B59NY577 |
FTSE Bonus Income8 Mth Non |
27/07/2010 |
03/08/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.20% |
5,365.67 |
UKX |
| G5YF00P27O1L |
FTSE 5yr Dep 27 op1 |
14/09/2011 |
14/09/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
32.00% |
5,227.02 |
UKX |
| GG3Y000000P1 |
Gtd Growth Plan 3yr (dep) |
28/07/2008 |
28/07/2011 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
16.07% |
5,312.60 |
UKX |
| GB00B3YM2W86 |
Geared Returns Plan 8 |
15/06/2009 |
23/06/2014 |
|
Matured |
|
29/10/2025 |
Geared Returns |
95.00% |
4,326.01 |
UKX |
| CGA0000000P5 |
5yr Gtd FTSE 100 Inc 5 Yly |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
25.25% |
5,190.68 |
UKX |
| G3YF000P1501 |
FTSE 3yr Dep 15 Opt 1 INV |
22/03/2010 |
22/03/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
19.00% |
5,644.54 |
UKX |
| G5YF00P1801L |
FTSE 100 5 Year Deposit Plan 18 - Lloyds version - option 1 |
27/07/2010 |
27/07/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
30.00% |
5,365.67 |
UKX |
| GB00B8FN1170 |
FTSE Enhanced Kickout 30 COL |
03/09/2012 |
03/09/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.50% |
5,758.41 |
UKX |
| GKO5Y0000P19 |
FTSE 100 KO Deposit 19 Op1 |
26/04/2011 |
26/04/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.00% |
6,069.36 |
UKX |
| GKO5Y2000P26 |
FTSE 100 KO Deposit 26 Op2 |
12/03/2012 |
12/03/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.50% |
5,892.75 |
UKX |
| GB00B7F5KH50 |
FTSE Bonus Income 22 Mth |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.08% |
5,758.11 |
UKX |
| GB00B3FJQX75 |
FTSE RPI Plan 4 ISA |
26/01/2009 |
03/02/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
40.96% |
4,209.01 |
UKX |
| GB00B55T2M21 |
FTSE RPI Plan 6 Non ISA |
05/05/2009 |
12/05/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
44.66% |
4,336.94 |
UKX |
| CGM0000000P1 |
Cap Gtd FTSE 100 Inc 1 Mth |
15/06/2009 |
16/06/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
28.80% |
4,326.01 |
UKX |
| GB00B58CRL23 |
FTSE Enhanced Kickout 13 INV |
27/07/2010 |
27/07/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
5,365.67 |
UKX |
| GB00B62XF819 |
FTSE 100 Geared Returns Plan 16 - RBS version - option 1 |
05/05/2010 |
12/05/2015 |
|
Matured |
|
29/10/2025 |
Geared Returns |
62.50% |
5,341.93 |
UKX |
| G5YF000P24O1 |
FTSE 5yr Dep 24 op1 INVEST |
26/04/2011 |
26/04/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
35.00% |
6,069.36 |
UKX |
| GB00B53GY186 |
FTSE 100 Gilt Backed Growth Plan 22 Op 2 |
28/02/2011 |
28/02/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
37.96% |
1,601.95 |
EVEN30 |
| GB00B63SJZ06 |
FTSE Bonus Income15 Mth ISA COL |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.88% |
5,693.39 |
UKX |
| GB00B3DHGY47 |
Accelerated Growth Plan 4 |
01/12/2008 |
09/12/2013 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
109.10% |
4,065.49 |
UKX |
| GB00B5688866 |
FTSE 100 Protected Growth Plan 13 |
15/02/2010 |
23/02/2015 |
|
Matured |
|
29/10/2025 |
Protected Growth |
28.44% |
5,167.47 |
UKX |
| GB00B400WV27 |
FTSE Enhanced Kickout 24 COL |
07/12/2011 |
07/12/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
5,546.91 |
UKX |
| GB00B3LMJT77 |
FTSE 100 Growth Plan 16 |
15/06/2010 |
22/06/2015 |
|
Matured |
|
29/10/2025 |
Protected Growth |
31.21% |
5,217.82 |
UKX |
| CGM000P18OP1 |
FTSE Income Dep 18 Op2 Mth |
20/06/2011 |
20/06/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.20% |
5,693.39 |
UKX |
| CGA000P20OP2 |
FTSE Income Dep 20 Op1 Yly |
14/09/2011 |
14/09/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
20.25% |
5,227.02 |
UKX |
| GB00B6X1B976 |
FTSE Bonus Income19 Mth COL |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.16% |
5,546.91 |
UKX |
| GB00B4YT9582 |
FTSE 100 Protected Growth Plan 8 |
27/07/2009 |
04/08/2014 |
|
Matured |
|
29/10/2025 |
Protected Growth |
46.74% |
4,586.13 |
UKX |
| GB00B46N5H27 |
FTSE 100 Geared Returns Plan 11 - option 2 |
19/10/2009 |
27/10/2014 |
|
Matured |
|
29/10/2025 |
Geared Returns |
80.00% |
5,281.54 |
UKX |
| CGA000P19OP1 |
FTSE Income Dep 19 Op2 Mth |
01/08/2011 |
01/08/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
20.40% |
5,774.43 |
UKX |
| CGM0000P9OP1 |
FTSE 100 Income Deposit Plan 9 opt1 Mth |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
26.31% |
5,341.93 |
UKX |
| G3YF0000P3O1 |
Gtd 3yr FTSE 3 op1 (dep) |
20/10/2008 |
20/10/2011 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
30.00% |
4,282.67 |
UKX |
| GB00B65Y2Y67 |
FTSE 100 Accelerated Growth Plan 16 |
05/05/2010 |
12/05/2015 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
53.95% |
5,341.93 |
UKX |
| GB00B4MGPS68 |
FTSE Bonus Income11 Mth ISA |
30/11/2010 |
08/12/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.44% |
5,528.27 |
UKX |
| GB00B60H7017 |
Accelerated Growth Plan 25 |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
14.21% |
5,693.39 |
UKX |
| GB00B5040V75 |
FTSE Bonus Income17 Mth ISA COL |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.00% |
5,227.02 |
UKX |
| GB00B6Z0XQ34 |
Accelerated Growth Plan 28 |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
38.16% |
5,553.24 |
UKX |
| GB00B4TTDT51 |
FTSE Enhanced Kickout 7 |
30/11/2009 |
30/11/2010 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
5,190.68 |
UKX |
| GB00B57F0K20 |
FTSE Bonus Income3 Yly ISA |
04/01/2010 |
12/01/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,500.34 |
UKX |
| GB00B5VXMR36 |
FTSE Enhanced Kickout 17 SAN |
17/01/2011 |
17/01/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
19.00% |
5,985.70 |
UKX |
| GB00B59P5493 |
Accelerated Growth Plan 23 |
28/02/2011 |
07/03/2016 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
4.25% |
5,994.01 |
UKX |
| GB00B3FJQT30 |
Geared Returns Plan 5 |
26/01/2009 |
03/02/2014 |
|
Matured |
|
29/10/2025 |
Geared Returns |
85.00% |
4,209.01 |
UKX |
| G5YF000P1601 |
FTSE 100 5 Year Deposit Plan 16 - Investec version - option 1 |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
40.00% |
5,341.93 |
UKX |
| GPIMF5YP5OP2 |
FTSE 100 Plus Income Deposit Plan 5 - Option 2 - Monthly |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
22.80% |
5,341.93 |
UKX |
| GB00B44QG033 |
FTSE Enhanced Kickout 19 COL |
26/04/2011 |
26/04/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
19.50% |
6,069.36 |
UKX |
| GB00B6Z0XT64 |
FTSE Enhanced Kickout 23 COL |
26/10/2011 |
26/10/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.50% |
5,553.24 |
UKX |
| GB00B5TW9930 |
FTSE Bonus Income 24 Yly COL |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,533.87 |
UKX |
| CGA000P12OP1 |
FTSE 100 Income Deposit Plan 12 Op1 Yly |
07/09/2010 |
07/09/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
23.75% |
5,407.82 |
UKX |
| GB00B783W703 |
Geared Returns 31 INV |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
80.00% |
5,892.75 |
UKX |
| GKO5Y2000P29 |
FTSE 100 KO Deposit 29 |
23/07/2012 |
23/07/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
11.50% |
5,533.87 |
UKX |
| G5YF0000P3O1 |
Gtd 5yr FTSE 3 op1 (dep) |
20/10/2008 |
21/10/2013 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
55.00% |
4,282.67 |
UKX |
| DGP01L190001 |
FTSE 100 Deposit Growth Plan 2 - Investec version |
07/09/2010 |
07/09/2015 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
25.13% |
5,407.82 |
UKX |
| DGP04L32000I |
FTSE Dep Growth Plan 15 Op1 |
02/05/2012 |
02/05/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
23.97% |
5,758.11 |
UKX |
| ROF5Y000P1L |
FTSE Roll Over 5yr LLO Yly |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
Rollover Income |
25.00% |
5,190.68 |
UKX |
| GB00B56SX699 |
FTSE Bonus Income15 Mth ISA |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.08% |
5,693.39 |
UKX |
| G5YF00P21O2R |
FTSE 100 5 Year Deposit Plan 21 - RBS version - option 2 |
30/11/2010 |
30/11/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
20.00% |
5,528.27 |
UKX |
| CGA0000000P8 |
FTSE 100 Income Deposit Plan 8 - Annual |
22/03/2010 |
23/03/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
27.00% |
5,644.54 |
UKX |
| GB00B51Y9K82 |
FTSE 100 Accelerated Growth Plan 14 |
15/02/2010 |
23/02/2015 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
56.87% |
5,167.47 |
UKX |
| G5YF000P1702 |
FTSE 100 5 Year Deposit Plan 17 - Investec version - option 2 |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
27.50% |
5,217.82 |
UKX |
| CGM000P14OP1 |
FTSE 100 Income Deposit Plan 14 Op1 Mth |
30/11/2010 |
30/11/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
20.40% |
5,528.27 |
UKX |
| GB00B5PL9W76 |
FTSE 100 Bonus Income Plan 7 - Monthly - ISA |
15/06/2010 |
22/06/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.48% |
5,217.82 |
UKX |
| CGA000P11OP1 |
FTSE 100 Income Deposit Plan 11 Op1 Yly |
27/07/2010 |
27/07/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
23.75% |
5,365.67 |
UKX |
| GKO5Y2000P23 |
FTSE 100 KO Deposit 23 Op 2 |
26/10/2011 |
27/10/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.75% |
5,553.24 |
UKX |
| CGPIAF5Y000L |
FTSE 100 Plus Income Deposit Plan 2 - Lloyds version - Annual |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
31.25% |
5,500.34 |
UKX |
| G3YF000P21O2 |
FTSE 3yr Dep 21 opt 2 INV |
30/11/2010 |
02/12/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
11.00% |
5,528.27 |
UKX |
| GB00B4LFV205 |
FTSE 100 Protected Growth Plan 20 |
30/11/2010 |
08/12/2015 |
|
Matured |
|
29/10/2025 |
Protected Growth |
16.01% |
5,528.27 |
UKX |
| CGQ0000000P3 |
Capital Guaranteed 5 Year FTSE 100 Income Plan 3 - Option 1 - Quarterly |
07/09/2009 |
08/09/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
31.00% |
4,933.18 |
UKX |
| G5YF00P21O1R |
FTSE 100 5 Year Deposit Plan 21 - RBS version - option 1 |
30/11/2010 |
30/11/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
25.00% |
5,528.27 |
UKX |
| GB00B3WT1681 |
FTSE Enhanced Kickout 26 COL |
12/03/2012 |
12/03/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.50% |
5,892.75 |
UKX |
| GKO5Y000P102 |
FTSE 100 KO Deposit 10 Op2 |
22/03/2010 |
22/03/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
21.00% |
5,644.54 |
UKX |
| GB00B5BSS475 |
FTSE Bonus Income8 Mth ISA |
27/07/2010 |
03/08/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.20% |
5,365.67 |
UKX |
| GB00B703TQ64 |
Geared Returns 29 COL |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
62.50% |
5,546.91 |
UKX |
| GB00B3CSW629 |
FTSE RPI Plan 2 Non ISA |
20/10/2008 |
04/11/2013 |
|
Matured |
|
29/10/2025 |
RPI Plan |
37.72% |
4,282.67 |
UKX |
| G5YF00P1601L |
FTSE 100 5 Year Deposit Plan 16 - Lloyds version - option 1 |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
32.50% |
5,341.93 |
UKX |
| GB00B6XCWS68 |
FTSE Bonus Income 20 Mth ISA COL |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.28% |
5,681.61 |
UKX |
| GB00B74DKQ99 |
FTSE Bonus Income 22 Yly COL |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.00% |
5,758.11 |
UKX |
| G3YF000P1801 |
FTSE 3yr Dep 18 Opt 1 INV |
27/07/2010 |
29/07/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,365.67 |
UKX |
| GKO5Y1000P22 |
FTSE 100 KO Deposit 22 Op 1 |
14/09/2011 |
14/09/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
4.75% |
5,227.02 |
UKX |
| GB00B70CPR64 |
FTSE Bonus Income19 Mth |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.36% |
5,546.91 |
UKX |
| GB00B3V70V16 |
FTSE Bonus Income16 Mth COL |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.76% |
5,774.43 |
UKX |
| GB00B8FGRN09 |
FTSE Bonus Income 25 Yly |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
38.75% |
5,758.41 |
UKX |
| CGM000P15OP2 |
FTSE Income Dep 15 Op2 Mth |
17/01/2011 |
18/01/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
19.20% |
5,985.70 |
UKX |
| GB00B6S72862 |
FTSE Bonus Income 21 Yly |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,892.75 |
UKX |
| GB00B7LZ3472 |
FTSE 100 Defensive Returns Plan 1 |
06/06/2012 |
06/06/2018 |
|
Matured |
|
29/10/2025 |
Defensive Returns |
37.98% |
5,384.11 |
UKX |
| KO6YR0000001 |
6YR FTSE 100 Kickout Plan |
19/01/2009 |
19/01/2011 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
20.00% |
4,108.47 |
UKX |
| GB00B4YTC043 |
FTSE 100 Accelerated Growth Plan 9 |
27/07/2009 |
04/08/2014 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
84.13% |
4,586.13 |
UKX |
| GKO5Y000P121 |
FTSE 100 KO Deposit 12 Op1 |
15/06/2010 |
15/06/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
11.00% |
5,217.82 |
UKX |
| GB00B4326S03 |
FTSE 100 Accelerated Growth Plan 19 |
07/09/2010 |
14/09/2015 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
49.20% |
5,407.82 |
UKX |
| CGA000P13OP1 |
FTSE 100 Income Deposit Plan 13 Op1 Yly |
19/10/2010 |
19/10/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
23.75% |
5,703.89 |
UKX |
| GKO5Y2001P30 |
FTSE 100 KO Deposit 30 |
03/09/2012 |
03/09/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.50% |
5,758.41 |
UKX |
| GB00B4TD8W53 |
5yr FTSE Bonus Income2 Mth |
30/11/2009 |
08/12/2014 |
|
Matured |
|
29/10/2025 |
Bonus Income |
35.60% |
5,190.68 |
UKX |
| GB00B4MFDZ64 |
FTSE Bonus Income16 Yly |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.25% |
5,774.43 |
UKX |
| GKO5Y2000P31 |
FTSE 100 KO Deposit 31 0% Commission |
15/10/2012 |
15/10/2014 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.50% |
5,805.61 |
UKX |
| RO5Y000000P1 |
FTSE Roll Over 5yr INV Yly |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
Rollover Income |
32.50% |
5,190.68 |
UKX |
| CGM3F00000P1 |
3yr Gtd FTSE Inc 1 Op1 Mth |
07/09/2009 |
07/09/2012 |
|
Matured |
|
29/10/2025 |
Income Deposit |
14.40% |
4,933.18 |
UKX |
| G5YF000P11O2 |
Guaranteed 5 Year FTSE 100 Plan 11 - option 2 |
19/10/2009 |
20/10/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
35.00% |
5,281.54 |
UKX |
| GB00B8F9GZ41 |
FTSE 100 Defensive Kick-Out Plan 3 |
03/09/2012 |
03/09/2014 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
16.00% |
5,758.41 |
UKX |
| GB00B2RFTG09 |
Accelerated Growth Plan |
28/07/2008 |
05/08/2013 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
35.99% |
5,312.60 |
UKX |
| CGPIAF5YP10L |
Capital Guaranteed FTSE 100 Plus Income Plan 1 - Lloyds version - Monthly |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
28.75% |
5,190.68 |
UKX |
| GB00B3ZFFG12 |
Accelerated Growth Plan 24 |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
1.76% |
6,069.36 |
UKX |
| GB00B42W1G48 |
FTSE Bonus Income9 Yly Non |
07/09/2010 |
14/09/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.75% |
5,407.82 |
UKX |
| G5YF0000P2O1 |
Gtd 5yr FTSE 2 op1 (dep) |
08/09/2008 |
09/09/2013 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
60.00% |
5,446.30 |
UKX |
| CGA000P18OP1 |
FTSE Income Dep 18 Op1 Yly |
20/06/2011 |
20/06/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
23.00% |
5,693.39 |
UKX |
| GB00B46N4B99 |
Geared Returns Plan 11 3yr |
19/10/2009 |
19/10/2012 |
|
Matured |
|
29/10/2025 |
Geared Returns |
40.00% |
5,281.54 |
UKX |
| GKO5Y000P7O1 |
Gtd 5yr FTSE KO Plan7 Opt1 |
30/11/2009 |
30/11/2011 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.00% |
5,190.68 |
UKX |
| GB00B59K9S60 |
FTSE Bonus Income10 Yly ISA |
19/10/2010 |
26/10/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,703.89 |
UKX |
| GB00B4MHG085 |
FTSE Bonus Income11 Yly ISA |
30/11/2010 |
08/12/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
41.00% |
5,528.27 |
UKX |
| G5YF000P1302 |
FTSE 100 5 Year Deposit Plan 13 - Investec version - Option 2 |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
28.00% |
5,500.34 |
UKX |
| G3YF000P2001 |
FTSE 3yr Dep 20 opt 1 INV |
19/10/2010 |
21/10/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
5,703.89 |
UKX |
| GB00B7BY6K15 |
FTSE Enhanced Kickout 28 COL |
11/06/2012 |
11/06/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
5,432.37 |
UKX |
| GB00B5M0VC16 |
FTSE Enhanced Kickout 12 RBS |
15/06/2010 |
15/06/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.25% |
5,217.82 |
UKX |
| GKO5Y0000P20 |
FTSE 100 KO Deposit 20 |
20/06/2011 |
20/06/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.00% |
5,693.39 |
UKX |
| G3YF000P28O2 |
FTSE 100 3 Year Deposit Plan 28 - option 2 |
26/10/2011 |
27/10/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
12.50% |
5,553.24 |
UKX |
| GB00B7F41B38 |
FTSE Enhanced Kickout 28 INV |
11/06/2012 |
11/06/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
13.00% |
5,432.37 |
UKX |
| GB00B41JT623 |
Geared Returns 36 COL |
15/10/2012 |
23/10/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
63.00% |
5,805.61 |
UKX |
| GB00B3FJQP91 |
Accelerated Growth Plan 5 |
26/01/2009 |
03/02/2014 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
85.41% |
4,209.01 |
UKX |
| G3YF0000P9O1 |
Gtd 3yr FTSE 9 op1 (dep) |
27/07/2009 |
27/07/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
25.00% |
4,586.13 |
UKX |
| GB00B448FY60 |
FTSE Bonus Income14 Yly COL |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.00% |
6,069.36 |
UKX |
| G5YF000P1501 |
FTSE 100 5 Year Deposit Plan 15 - Investec version - option 1 |
22/03/2010 |
23/03/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
40.00% |
5,644.54 |
UKX |
| G3YF000P1702 |
FTSE 3yr Dep 17 Opt 2 INV |
15/06/2010 |
17/06/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
13.00% |
5,217.82 |
UKX |
| GB00B7YH0616 |
FTSE Bonus Income 23 Yly COL ISA |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.00% |
5,432.37 |
UKX |
| GB00B7ZPM461 |
FTSE 100 Defensive Kick-Out Plan 2 |
23/07/2012 |
23/07/2014 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
16.00% |
5,533.87 |
UKX |
| DGP04L36000R |
FTSE Dep Growth Plan 19 Op2 |
15/10/2012 |
16/10/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
40.39% |
1,765.79 |
EVEN30 |
| GB00B6X10F63 |
Accelerated Growth Plan 29 |
07/12/2011 |
14/12/2016 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
43.41% |
5,546.91 |
UKX |
| GB00B7YH1G88 |
FTSE Bonus Income 23 Mth COL |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.60% |
5,432.37 |
UKX |
| GB00B7YH0491 |
FTSE Bonus Income 23 Yly |
11/06/2012 |
19/06/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.50% |
5,432.37 |
UKX |
| GB00B4YT9368 |
FTSE RPI Plan 8 Non ISA |
27/07/2009 |
04/08/2014 |
|
Matured |
|
29/10/2025 |
RPI Plan |
44.63% |
4,586.13 |
UKX |
| GB00B4VYSK45 |
FTSE 100 Geared Returns Plan 12 - option 2 |
30/11/2009 |
08/12/2014 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
5,190.68 |
UKX |
| GB00B5M3CS34 |
FTSE Bonus Income15 Yly COL |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.00% |
5,693.39 |
UKX |
| GB00B3CSW736 |
FTSE RPI Plan 2 ISA |
20/10/2008 |
04/11/2013 |
|
Matured |
|
29/10/2025 |
RPI Plan |
37.72% |
4,282.67 |
UKX |
| GB00B62G7X91 |
FTSE Bonus Income5 Mth ISA |
22/03/2010 |
30/03/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
37.17% |
5,644.54 |
UKX |
| GB00B5T6KT27 |
FTSE Bonus Income17 Mth ISA |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.20% |
5,227.02 |
UKX |
| GB00B8FK8K60 |
FTSE Bonus Income 25 Mth |
03/09/2012 |
11/09/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
38.40% |
5,758.41 |
UKX |
| GB00B881TY76 |
Accelerated Growth Plan 36 |
15/10/2012 |
23/10/2017 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
74.52% |
5,805.61 |
UKX |
| G5YF000P1301 |
FTSE 100 5 Year Deposit Plan 13 - Investec version - option 1 |
04/01/2010 |
05/01/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
38.00% |
5,500.34 |
UKX |
| DGP04L31000I |
FTSE Dep Growth Plan 14 Op1 |
12/03/2012 |
13/03/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
19.36% |
5,892.75 |
UKX |
| G3YF000P21O1 |
FTSE 3yr Dep 21 opt 1 INV |
30/11/2010 |
02/12/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
14.00% |
5,528.27 |
UKX |
| G3YF0000P6O2 |
Gtd 3yr FTSE 6 op2 (dep) |
09/03/2009 |
09/03/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
25.00% |
3,542.40 |
UKX |
| GB00B5NHMV71 |
Geared Returns 22 Opt1 |
17/01/2011 |
25/01/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
70.00% |
5,985.70 |
UKX |
| DGP04L33000I |
FTSE Dep Growth Plan 16 Op1 |
11/06/2012 |
12/06/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
35.77% |
5,432.37 |
UKX |
| CGM000P11OP2 |
FTSE 100 Income Deposit Plan 11 Op2 Mth |
27/07/2010 |
27/07/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.60% |
5,365.67 |
UKX |
| G5YF00P26O2L |
FTSE 5yr Dep 26 op2 |
01/08/2011 |
01/08/2016 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
25.00% |
5,774.43 |
UKX |
| GB00B75GWW77 |
Accelerated Growth Plan 31 |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
43.61% |
5,892.75 |
UKX |
| GB00B3CSW843 |
FTSE 100 Prot 5yr Plan 2 |
20/10/2008 |
28/10/2013 |
|
Matured |
|
29/10/2025 |
Protected Growth |
52.04% |
4,282.67 |
UKX |
| G3YF000P10O1 |
Gtd 3yr FTSE 10 op1 (dep) |
07/09/2009 |
07/09/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
25.00% |
4,933.18 |
UKX |
| CGA000P15OP2 |
FTSE Income Dep 15 Op2 Yly |
17/01/2011 |
18/01/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
20.00% |
5,985.70 |
UKX |
| GB00B3WLBX10 |
FTSE Bonus Income14 Yly |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.50% |
6,069.36 |
UKX |
| G3YF000P32O1 |
FTSE 100 3 Year Deposit Plan 32 - option 1 |
02/05/2012 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
18.00% |
5,758.11 |
UKX |
| DGP04L35000R |
FTSE Dep Growth Plan 18 Op2 |
03/09/2012 |
04/09/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
42.15% |
1,777.20 |
EVEN30 |
| GPIAF5YP5OP1 |
FTSE 100 Plus Income Deposit Plan 5 - Option 1 - Annual |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
25.00% |
5,341.93 |
UKX |
| G3YF0000P2O1 |
Gtd 3yr FTSE 2 op1 (dep) |
08/09/2008 |
08/09/2011 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
8.83% |
5,446.30 |
UKX |
| CGA0000000P1 |
Cap Gtd FTSE 100 Inc 1 Yly |
15/06/2009 |
16/06/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
30.00% |
4,326.01 |
UKX |
| GB00B3S6KH77 |
FTSE Bonus Income16 Mth ISA |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.96% |
5,774.43 |
UKX |
| GB00B6WZ7S11 |
Geared Returns 30 INV |
31/01/2012 |
07/02/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
75.00% |
5,681.61 |
UKX |
| GB00B5779N49 |
FTSE 100 Accelerated Growth Plan 20 |
19/10/2010 |
26/10/2015 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
30.36% |
5,703.89 |
UKX |
| G3YF000P29O1 |
FTSE 100 3 Year Deposit Plan 29 - option 1 |
07/12/2011 |
08/12/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
17.50% |
5,546.91 |
UKX |
| GB00B51KJ738 |
FTSE 100 6yr Kickout Plan 1 COL |
02/05/2012 |
02/05/2013 |
|
Matured |
|
29/10/2025 |
6 Year Kickout |
9.00% |
5,758.11 |
UKX |
| CGQ3F00000P1 |
3yr Gtd FTSE Inc 1 Op1 Qly |
07/09/2009 |
07/09/2012 |
|
Matured |
|
29/10/2025 |
Income Deposit |
14.88% |
4,933.18 |
UKX |
| G5YF000P1802 |
FTSE 100 5 Year Deposit Plan 18 - Investec version - option 2 |
27/07/2010 |
27/07/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
26.00% |
5,365.67 |
UKX |
| G3YF000P31O2 |
FTSE 100 3 Year Deposit Plan 31 - option 2 |
12/03/2012 |
12/03/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
16.00% |
5,892.75 |
UKX |
| GB00B5LHNF07 |
FTSE Bonus Income12 Mth ISA |
17/01/2011 |
25/01/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.68% |
5,985.70 |
UKX |
| GB00B3NM1770 |
FTSE Bonus Income14 Yly ISA |
26/04/2011 |
03/05/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.50% |
6,069.36 |
UKX |
| GB00B8123V20 |
FTSE Bonus Income 24 Mth |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
38.40% |
5,533.87 |
UKX |
| GB00B83KGQ04 |
FTSE Bonus Income 26 Mth ISA COL |
15/10/2012 |
23/10/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.60% |
5,805.61 |
UKX |
| G5YF0000P3O2 |
Gtd 5yr FTSE 3 op2 (dep) |
20/10/2008 |
21/10/2013 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
51.71% |
4,282.67 |
UKX |
| G5YF0000P4O2 |
Gtd 5yr FTSE 4 op2 (dep) |
01/12/2008 |
02/12/2013 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
55.00% |
4,065.49 |
UKX |
| G3YF0000P7O1 |
Gtd 3yr FTSE 7 op1 (dep) |
05/05/2009 |
08/05/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
25.00% |
4,336.94 |
UKX |
| GB00B4Z1ML02 |
FTSE Enhanced Kickout 4 |
27/07/2009 |
27/07/2010 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.00% |
4,586.13 |
UKX |
| XS0474244026 |
FTSE Enhanced Kickout 9 MS |
15/02/2010 |
15/02/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.00% |
5,167.47 |
UKX |
| GB00B5VV3K73 |
FTSE Enhanced Kickout 13 RBS |
27/07/2010 |
27/07/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.50% |
5,365.67 |
UKX |
| GB00B53GS618 |
Accelerated Growth Plan 26 |
01/08/2011 |
08/08/2016 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
16.34% |
5,774.43 |
UKX |
| GB00B3BPBK16 |
Accelerated Growth Plan 2 |
08/09/2008 |
16/09/2013 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
30.18% |
5,446.30 |
UKX |
| GB00B80PT701 |
FTSE Bonus Income 24 Mth ISA |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
38.40% |
5,533.87 |
UKX |
| GB00B665X122 |
FTSE Enhanced Kickout 11 INV |
05/05/2010 |
04/05/2011 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
5,341.93 |
UKX |
| G5YF00P1802L |
FTSE 100 5 Year Deposit Plan 18 - Lloyds version - option 2 |
27/07/2010 |
27/07/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
25.00% |
5,365.67 |
UKX |
| CGA000P15OP1 |
FTSE Income Dep 15 Op1 Yly |
17/01/2011 |
18/01/2016 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.25% |
5,985.70 |
UKX |
| G5YF00P1501L |
FTSE 100 5 Year Deposit Plan 15 - Lloyds version - option 1 |
22/03/2010 |
23/03/2015 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
32.50% |
5,644.54 |
UKX |
| DGP04L23000R |
FTSE Dep Growth Plan Op2 INV |
28/02/2011 |
29/02/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
32.75% |
1,601.95 |
EVEN30 |
| GB00B5LJLL82 |
FTSE Bonus Income3 Yly Non |
04/01/2010 |
12/01/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,500.34 |
UKX |
| GKO5Y000P901 |
FTSE 100 Kickout Deposit 9 |
15/02/2010 |
15/02/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.00% |
5,167.47 |
UKX |
| GKO5Y000P111 |
FTSE 100 KO Deposit 11 Op1 |
05/05/2010 |
04/05/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.00% |
5,341.93 |
UKX |
| GPIMF5YP6OP2 |
FTSE 100 Plus Income Deposit Plan 6 - Option 2 - Monthly |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
33.00% |
5,217.82 |
UKX |
| G3YF000P11O1 |
Gtd 3yr FTSE 11 op1 (dep) |
19/10/2009 |
19/10/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
23.00% |
5,281.54 |
UKX |
| GB00B6Z0XG36 |
FTSE Bonus Income18 Yly ISA |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,553.24 |
UKX |
| GB00B5LMT350 |
FTSE Bonus Income 21 Yly COL |
12/03/2012 |
20/03/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.75% |
5,892.75 |
UKX |
| GB00B83KDL44 |
FTSE Bonus Income 24 Mth COL |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.20% |
5,533.87 |
UKX |
| CGA000P13OP2 |
FTSE 100 Income Deposit Plan 13 Op2 Yly |
19/10/2010 |
19/10/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
22.50% |
5,703.89 |
UKX |
| GKO5Y000P5O2 |
Gtd 5yr FTSE KO Plan5 Opt2 |
07/09/2009 |
07/09/2010 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
6.25% |
4,933.18 |
UKX |
| G3YF000P34O2 |
FTSE 100 3 Year Deposit Plan 34 - option 2 |
23/07/2012 |
23/07/2015 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
14.00% |
5,533.87 |
UKX |
| CGM0000000P5 |
5yr Gtd FTSE 100 Inc 5 Mth |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
Income Deposit |
24.00% |
5,190.68 |
UKX |
| DGP04L24000I |
FTSE Dep Growth Plan 7 Op1 |
26/04/2011 |
26/04/2016 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.95% |
6,069.36 |
UKX |
| G5YF0000P9O2 |
Gtd 5yr FTSE 9 op2 (dep) |
27/07/2009 |
28/07/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
35.00% |
4,586.13 |
UKX |
| CGM0000P9OP2 |
FTSE 100 Income Deposit Plan 9 opt2 Mth |
05/05/2010 |
05/05/2015 |
|
Matured |
|
29/10/2025 |
Income Deposit |
24.66% |
5,341.93 |
UKX |
| DGP04L34000I |
FTSE Dep Growth Plan 17 Op1 |
23/07/2012 |
24/07/2017 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
34.41% |
5,533.87 |
UKX |
| GB00B72XBY64 |
Geared Returns 34 INV |
23/07/2012 |
31/07/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
82.50% |
5,533.87 |
UKX |
| G5YF0000P7O2 |
Gtd 5yr FTSE 7 op2 (dep) |
05/05/2009 |
06/05/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
50.00% |
4,336.94 |
UKX |
| G5YF000P12O2 |
Guaranteed 5 Year FTSE 100 Plan 12 - Investec version - option 2 |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
28.00% |
5,190.68 |
UKX |
| GB00B62CDM89 |
FTSE 100 Accelerated Growth Plan 15 |
22/03/2010 |
30/03/2015 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
35.81% |
5,644.54 |
UKX |
| GPIAF5YP6OP1 |
FTSE 100 Plus Income Deposit Plan 6 - Option 1 - Annual |
15/06/2010 |
15/06/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
25.00% |
5,217.82 |
UKX |
| GB00B582FJ65 |
FTSE Enhanced Kickout 18 COL |
28/02/2011 |
28/02/2013 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
20.00% |
5,994.01 |
UKX |
| GB00B575B764 |
FTSE 100 Protected Growth Plan 12 |
04/01/2010 |
12/01/2015 |
|
Matured |
|
29/10/2025 |
Protected Growth |
20.46% |
5,500.34 |
UKX |
| G3YF000P1502 |
FTSE 3yr Dep 15 Opt 2 INV |
22/03/2010 |
22/03/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
16.00% |
5,644.54 |
UKX |
| GB00B598J686 |
FTSE Bonus Income10 Mth ISA |
19/10/2010 |
26/10/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.20% |
5,703.89 |
UKX |
| GB00B4YTCC62 |
FTSE 100 Geared Returns Plan 9 |
27/07/2009 |
04/08/2014 |
|
Matured |
|
29/10/2025 |
Geared Returns |
95.00% |
4,586.13 |
UKX |
| GB00B67FMW54 |
FTSE 100 Accelerated Growth Plan 10 |
07/09/2009 |
15/09/2014 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
69.69% |
4,933.18 |
UKX |
| GB00B5VC7R56 |
Geared Returns 25 COL |
20/06/2011 |
27/06/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
62.50% |
5,693.39 |
UKX |
| GB00B5LJRK95 |
FTSE 100 Gilt Backed Growth Plan 24 Op 2 |
20/06/2011 |
20/06/2018 |
|
Matured |
|
29/10/2025 |
Gilt Backed Growth |
33.68% |
1,627.54 |
EVEN30 |
| G3YF000P1301 |
FTSE 3yr Dep 13 Opt 1 INV |
04/01/2010 |
04/01/2013 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
18.00% |
5,500.34 |
UKX |
| GKO5Y000P101 |
FTSE 100 KO Deposit 10 Op1 |
22/03/2010 |
22/03/2012 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.00% |
5,644.54 |
UKX |
| GB00B59S9351 |
FTSE Bonus Income8 Yly Non |
27/07/2010 |
03/08/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
32.50% |
5,365.67 |
UKX |
| GB00B3KVCT66 |
Geared Returns Plan 6 |
09/03/2009 |
17/03/2014 |
|
Matured |
|
29/10/2025 |
Geared Returns |
90.00% |
3,542.40 |
UKX |
| GKO5Y000P4O2 |
Gtd 5yr FTSE KO Plan4 Opt2 |
27/07/2009 |
27/07/2010 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
6.25% |
4,586.13 |
UKX |
| GB00B8B0MR58 |
Geared Returns 37 COL |
26/11/2012 |
04/12/2017 |
|
Matured |
|
29/10/2025 |
Geared Returns |
60.00% |
5,786.72 |
UKX |
| CGPIAF5Y0P3I |
FTSE 100 Plus Income Deposit Plan 3 - Annual |
15/02/2010 |
16/02/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
35.00% |
5,167.47 |
UKX |
| GB00B6Z0XR41 |
Geared Returns 28 INV |
26/10/2011 |
02/11/2016 |
|
Matured |
|
29/10/2025 |
Geared Returns |
57.50% |
5,553.24 |
UKX |
| GB00B57DX855 |
FTSE Bonus Income3 Mth Non |
04/01/2010 |
12/01/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
31.20% |
5,500.34 |
UKX |
| GB00B5SZ1646 |
FTSE Enhanced Kickout 22 COL |
14/09/2011 |
14/09/2012 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.50% |
5,227.02 |
UKX |
| GB00B3LKV512 |
Accelerated Growth Plan 27 |
14/09/2011 |
21/09/2016 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
46.55% |
5,227.02 |
UKX |
| GB00B62RCG08 |
FTSE Bonus Income 22 Mth ISA COL |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
33.48% |
5,758.11 |
UKX |
| GB00B50XH463 |
FTSE Bonus Income4 Mth ISA |
15/02/2010 |
23/02/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
35.92% |
5,167.47 |
UKX |
| GB00B724GS88 |
Accelerated Growth Plan 32 |
02/05/2012 |
09/05/2017 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
55.87% |
5,758.11 |
UKX |
| G3YF0000P5O1 |
Gtd 3yr FTSE 5 op1 (dep) |
26/01/2009 |
26/01/2012 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
30.00% |
4,209.01 |
UKX |
| GB00B455H626 |
FTSE 100 Accelerated Growth Plan 11 |
19/10/2009 |
27/10/2014 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
54.65% |
5,281.54 |
UKX |
| CGPIAF5YP04I |
FTSE 100 Plus Income Deposit Plan 4 - Annual |
22/03/2010 |
23/03/2015 |
|
Matured |
|
29/10/2025 |
Plus Income Deposit |
39.00% |
5,644.54 |
UKX |
| GKO5Y000P112 |
FTSE 100 KO Deposit 11 Op2 |
05/05/2010 |
07/05/2013 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
20.25% |
5,341.93 |
UKX |
| GB00B5NB3165 |
FTSE Bonus Income12 Yly ISA |
17/01/2011 |
25/01/2016 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.00% |
5,985.70 |
UKX |
| G3YF000P24O2 |
FTSE 3yr Dep 24 op2 INV |
26/04/2011 |
28/04/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
12.00% |
6,069.36 |
UKX |
| GB00B8GPGM84 |
FTSE Bonus Income 26 Mth COL |
15/10/2012 |
23/10/2017 |
|
Matured |
|
29/10/2025 |
Bonus Income |
30.60% |
5,805.61 |
UKX |
| G5YF000P12O1 |
Guaranteed 5 Year FTSE 100 Plan 12 - Investec version - option 1 |
30/11/2009 |
01/12/2014 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
38.00% |
5,190.68 |
UKX |
| GB00B659DC62 |
FTSE Bonus Income6 Mth ISA |
05/05/2010 |
12/05/2015 |
|
Matured |
|
29/10/2025 |
Bonus Income |
35.50% |
5,341.93 |
UKX |
| G3YF000P23O2 |
FTSE 3yr Dep 23 opt 2 INV |
28/02/2011 |
28/02/2014 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
11.00% |
5,994.01 |
UKX |
| GKO5Y2000P38 |
FTSE 100 KO Deposit 33 0% Commission |
15/01/2013 |
15/01/2015 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
11.50% |
6,117.31 |
UKX |
| GB00B8FGSN73 |
FTSE 100 Defensive Kick-Out Plan 6 |
15/01/2013 |
15/01/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
13.00% |
6,117.31 |
UKX |
| G3YF000P38O1 |
FTSE 3yr Dep 38 |
15/01/2013 |
15/01/2016 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
13.50% |
6,117.31 |
UKX |
| GB00B8J9WR43 |
Geared Returns 38 INV |
15/01/2013 |
22/01/2018 |
|
Matured |
|
29/10/2025 |
Geared Returns |
80.00% |
6,117.31 |
UKX |
| GB00B85L2P22 |
FTSE Enhanced Kickout 33 INV |
15/01/2013 |
15/01/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
12.50% |
6,117.31 |
UKX |
| GB00B73D4P72 |
FTSE Enhanced Kickout 33 COL |
15/01/2013 |
15/01/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.50% |
6,117.31 |
UKX |
| GB00B8BL7W80 |
FTSE Enhanced Kickout 33 COL 0% Commission |
15/01/2013 |
15/01/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
12.50% |
6,117.31 |
UKX |
| GB00B87MTR44 |
FTSE Bonus Income 28 Mth |
15/01/2013 |
22/01/2018 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.20% |
6,117.31 |
UKX |
| GKO5Y2001P38 |
FTSE 100 KO Deposit 33 |
15/01/2013 |
15/01/2015 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
9.00% |
6,117.31 |
UKX |
| GB00B8K8HJ74 |
FTSE Enhanced Kickout 33 INV 0% Commission |
15/01/2013 |
15/01/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.50% |
6,117.31 |
UKX |
| GB00B87FSP46 |
FTSE Bonus Income 28 Mth COL |
15/01/2013 |
22/01/2018 |
|
Matured |
|
29/10/2025 |
Bonus Income |
27.60% |
6,117.31 |
UKX |
| GB00B89MM845 |
FTSE Bonus Income 28 Mth ISA COL |
15/01/2013 |
22/01/2018 |
|
Matured |
|
29/10/2025 |
Bonus Income |
27.60% |
6,117.31 |
UKX |
| DGP04L38000R |
FTSE Dep Growth Plan 21 Op2 |
15/01/2013 |
15/01/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
38.72% |
1,795.97 |
EVEN30 |
| GB00B7ZSWD49 |
FTSE Bonus Income 28 Mth ISA |
15/01/2013 |
22/01/2018 |
|
Matured |
|
29/10/2025 |
Bonus Income |
34.20% |
6,117.31 |
UKX |
| GB00B88XY153 |
Geared Returns 38 COL |
15/01/2013 |
22/01/2018 |
|
Matured |
|
29/10/2025 |
Geared Returns |
58.00% |
6,117.31 |
UKX |
| DGP04L38000I |
FTSE Dep Growth Plan 21 Op1 |
15/01/2013 |
15/01/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
25.10% |
6,117.31 |
UKX |
| GB00B8187635 |
Accelerated Growth Plan 38 |
15/01/2013 |
22/01/2018 |
|
Matured |
|
29/10/2025 |
Accelerated Growth |
66.11% |
6,117.31 |
UKX |
| GKO5Y2001P39 |
FTSE 100 KO Deposit 34 Commission |
04/03/2013 |
04/03/2015 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
8.00% |
6,345.63 |
UKX |
| GB00B7SDSD82 |
FTSE 100 Enhanced Kickout 34 INV Adviser Fee |
04/03/2013 |
04/03/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
14.00% |
6,345.63 |
UKX |
| GB00B8GCVR93 |
FTSE 100 Enhanced Kickout 34 COL Adviser Fee |
04/03/2013 |
04/03/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
6,345.63 |
UKX |
| GKO5Y2000P39 |
FTSE 100 KO Deposit 34 Adviser Fee |
04/03/2013 |
04/03/2015 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.50% |
6,345.63 |
UKX |
| GB00B88D3075 |
FTSE 100 Defensive Kick-Out Plan 7 Adviser Fee |
04/03/2013 |
04/03/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
12.00% |
6,345.63 |
UKX |
| GB00B7L73871 |
FTSE 100 Enhanced Income 1 INV Commission |
04/03/2013 |
04/03/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
38.88% |
6,345.63 |
UKX |
| GB00B88H5K34 |
FTSE 100 Enhanced Kickout 34 INV Commission |
04/03/2013 |
04/03/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.00% |
6,345.63 |
UKX |
| GB00B79B7566 |
FTSE 100 Enhanced Income 1 INV Adviser Fee |
04/03/2013 |
04/03/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
41.76% |
6,345.63 |
UKX |
| GB00B8BQYG68 |
FTSE 100 Enhanced Income 1 COL Adviser Fee |
04/03/2013 |
04/03/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
30.24% |
6,345.63 |
UKX |
| G3YF000P39O1 |
FTSE 3yr Dep 39 Adviser Fee |
04/03/2013 |
04/03/2016 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
6,345.63 |
UKX |
| GB00B8847311 |
FTSE 100 Enhanced Income 1 COL Commission |
04/03/2013 |
04/03/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
27.36% |
6,345.63 |
UKX |
| DGP04L39000R |
FTSE 100 Dep Growth Plan 22 Op2 Commission |
04/03/2013 |
05/03/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
20.66% |
1,907.83 |
EVEN30 |
| GB00B8BMSH36 |
FTSE 100 Defined Returns 1 INV Adviser Fee |
04/03/2013 |
09/03/2018 |
|
Matured |
|
29/10/2025 |
Defined Returns |
75.00% |
6,345.63 |
UKX |
| GB00B87NJG63 |
FTSE 100 Defined Returns 1 COL Adviser Fee |
04/03/2013 |
09/03/2018 |
|
Matured |
|
29/10/2025 |
Defined Returns |
50.00% |
6,345.63 |
UKX |
| DGP04L39000I |
FTSE 100 Dep Growth Plan 22 Op1 Commission |
04/03/2013 |
05/03/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
17.42% |
6,345.63 |
UKX |
| TIDP04000039 |
FTSE 100 Target Income Deposit 1 Adviser Fee |
04/03/2013 |
04/03/2019 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
27.00% |
6,345.63 |
UKX |
| DGP04L3900AI |
FTSE 100 Dep Growth Plan 22 Op1 Adviser Fee |
04/03/2013 |
05/03/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
22.65% |
6,345.63 |
UKX |
| DGP04L3900AR |
FTSE 100 Dep Growth Plan 22 Op2 Adviser Fee |
04/03/2013 |
05/03/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
26.18% |
1,907.83 |
EVEN30 |
| GB00B8SD2L14 |
FTSE 100 Enhanced Kickout 34 COL Commission |
04/03/2013 |
04/03/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
7.00% |
6,345.63 |
UKX |
| G3YF000P40O1 |
FTSE 100 3yr Dep Plan 40 |
29/04/2013 |
29/04/2016 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
6,458.02 |
UKX |
| GKO5Y2001P40 |
FTSE 100 KO Deposit 35 Adviser Fee |
29/04/2013 |
29/04/2015 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
9.00% |
6,458.02 |
UKX |
| GB00B8XW6333 |
FTSE 100 Enhanced Kickout 35 INV Adviser Fee |
29/04/2013 |
29/04/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
12.00% |
6,458.02 |
UKX |
| GB00B83CM799 |
FTSE 100 Enhanced Kickout 35 COL Adviser Fee |
29/04/2013 |
29/04/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.00% |
6,458.02 |
UKX |
| GB00B8HHNV18 |
FTSE 100 Enhanced Income 2 INV Commission |
29/04/2013 |
29/04/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
36.00% |
6,458.02 |
UKX |
| GB00B99HKZ95 |
FTSE 100 Enhanced Income 2 INV Adviser Fee |
29/04/2013 |
29/04/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
38.88% |
6,458.02 |
UKX |
| DGP04L40000I |
FTSE 100 Dep Growth Plan 23 Op1 Adviser Fee |
29/04/2013 |
30/04/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
18.57% |
6,458.02 |
UKX |
| TIDP04000040 |
FTSE 100 Target Income Deposit 2 Adviser Fee |
29/04/2013 |
29/04/2019 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
27.90% |
6,458.02 |
UKX |
| GB00B6T20646 |
FTSE 100 Defensive Kick-Out Plan 8 UK5 |
29/04/2013 |
29/04/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
12.00% |
6,458.02 |
UKX |
| GB00B8NDXR91 |
FTSE 100 Defined Returns 2 INV Adviser Fee |
29/04/2013 |
04/05/2018 |
|
Matured |
|
29/10/2025 |
Defined Returns |
67.50% |
6,458.02 |
UKX |
| GB00B4L4C024 |
FTSE 100 Defined Returns 2 COL Adviser Fee |
29/04/2013 |
04/05/2018 |
|
Matured |
|
29/10/2025 |
Defined Returns |
45.00% |
6,458.02 |
UKX |
| GB00B965RZ50 |
FTSE 100 Enhanced Kickout 35 INV Commission |
29/04/2013 |
29/04/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.00% |
6,458.02 |
UKX |
| GB00B8YRB099 |
FTSE 100 Enhanced Income 2 COL Adviser Fee |
29/04/2013 |
29/04/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
28.80% |
6,458.02 |
UKX |
| DGP04L40000R |
Even30 Dep Growth Plan 23 Op2 Adviser Fee |
29/04/2013 |
30/04/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
13.52% |
1,990.22 |
EVEN30 |
| GB00B995V507 |
FTSE 100 Defensive Kick-Out Plan 8 INV |
29/04/2013 |
29/04/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
16.50% |
6,458.02 |
UKX |
| GB00B8S9NJ45 |
FTSE 100 Enhanced Income 2 COL Commission |
29/04/2013 |
29/04/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
25.92% |
6,458.02 |
UKX |
| GB00B8JFRM23 |
FTSE 100 Enhanced Kickout 35 COL Commission |
29/04/2013 |
29/04/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
6.00% |
6,458.02 |
UKX |
| GKO5Y2001P41 |
FTSE 100 Kick-Out Deposit Plan 36 |
10/06/2013 |
10/06/2015 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
9.20% |
6,400.45 |
UKX |
| GB00B9L9CS08 |
FTSE 100 Enhanced Kick-Out 36 INV |
10/06/2013 |
10/06/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.50% |
6,400.45 |
UKX |
| GB00B92DJK21 |
FTSE 100 Defensive Kick-Out Plan 9 COL |
10/06/2013 |
10/06/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
12.00% |
6,400.45 |
UKX |
| GB00B9FP3S15 |
FTSE 100 Defensive Kick-Out Plan 9 INV |
10/06/2013 |
10/06/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
16.00% |
6,400.45 |
UKX |
| G3YF000P41O1 |
FTSE 100 3yr Deposit Plan 41 |
10/06/2013 |
10/06/2016 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
6,400.45 |
UKX |
| GB00B8140Y00 |
FTSE 100 Enhanced Kick-Out 36 INV Commission |
10/06/2013 |
10/06/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.50% |
6,400.45 |
UKX |
| GB00B95GTK80 |
FTSE 100 Enhanced Income 3 INV |
10/06/2013 |
10/06/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
37.44% |
6,400.45 |
UKX |
| TIDP04000041 |
FTSE 100 Target Income Deposit 3 |
10/06/2013 |
10/06/2019 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
27.00% |
6,400.45 |
UKX |
| GB00B95T3J47 |
FTSE 100 Enhanced Kickout 36 COL |
10/06/2013 |
10/06/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.00% |
6,400.45 |
UKX |
| DGP04L41000I |
FTSE 100 Deposit Growth Plan 24 Op1 |
10/06/2013 |
11/06/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
21.07% |
6,400.45 |
UKX |
| DGP04L41000R |
Even 30 Deposit Growth Plan 24 Op2 |
10/06/2013 |
11/06/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
19.83% |
1,943.02 |
EVEN30 |
| GB00B8XBNX95 |
FTSE 100 Defined Returns 3 COL |
10/06/2013 |
15/06/2018 |
|
Matured |
|
29/10/2025 |
Defined Returns |
50.00% |
6,400.45 |
UKX |
| GB00B9L75Y14 |
FTSE 100 Defined Returns 3 INV |
10/06/2013 |
15/06/2018 |
|
Matured |
|
29/10/2025 |
Defined Returns |
67.50% |
6,400.45 |
UKX |
| GB00B8BV4053 |
FTSE 100 Enhanced Income 3 INV Commission |
10/06/2013 |
10/06/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
34.56% |
6,400.45 |
UKX |
| TIDP04000042 |
FTSE 100 Target Income Deposit Plan 4 Adviser Fee |
29/07/2013 |
29/07/2019 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
24.00% |
6,560.25 |
UKX |
| TIDP04000043 |
FTSE 100 Target Income Deposit Plan 5 Adviser Fee |
02/09/2013 |
02/09/2019 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
30.00% |
6,506.19 |
UKX |
| DGP04L42000R |
Even 30 Deposit Growth Plan 25 Op2 |
29/07/2013 |
30/07/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
17.54% |
1,974.08 |
EVEN30 |
| GKO5Y2001P42 |
FTSE 100 Kick-Out Deposit Plan 37 |
29/07/2013 |
29/07/2015 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
8.50% |
6,560.25 |
UKX |
| DGP04L42000I |
FTSE 100 Deposit Growth Plan 25 Op1 |
29/07/2013 |
30/07/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
16.13% |
6,560.25 |
UKX |
| G3YF000P42O1 |
FTSE 100 3yr Deposit Plan 42 |
29/07/2013 |
29/07/2016 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
6,560.25 |
UKX |
| DGP04L43000I |
FTSE 100 Deposit Growth Plan 26 Op1 |
02/09/2013 |
03/09/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
19.10% |
6,506.19 |
UKX |
| G3YF000P43O1 |
FTSE 100 3yr Deposit Plan 43 |
02/09/2013 |
02/09/2016 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
12.50% |
6,506.19 |
UKX |
| DGP04L43000R |
Even 30 Deposit Growth Plan 26 Op2 |
02/09/2013 |
03/09/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
22.64% |
1,955.15 |
EVEN30 |
| GKO5Y2001P43 |
FTSE 100 Kick-Out Deposit Plan 38 |
02/09/2013 |
02/09/2016 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.50% |
6,506.19 |
UKX |
| GB00BCHWPM91 |
FTSE 100 Enhanced Income 4 Commission |
02/09/2013 |
02/09/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
36.72% |
6,506.19 |
UKX |
| GB00BCHWPL84 |
FTSE 100 Enhanced Income 4 INV |
02/09/2013 |
02/09/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
39.60% |
6,506.19 |
UKX |
| GB00BBJNMT97 |
FTSE 100 Defined Returns 4 INV |
29/07/2013 |
29/07/2016 |
|
Matured |
|
29/10/2025 |
Defined Returns |
39.00% |
6,560.25 |
UKX |
| GB00BBJNMV10 |
FTSE 100 Defined Returns 4 COL |
29/07/2013 |
29/07/2016 |
|
Matured |
|
29/10/2025 |
Defined Returns |
30.00% |
6,560.25 |
UKX |
| GB00BBJNMW27 |
FTSE 100 Defensive Kick-Out Plan 10 INV |
29/07/2013 |
29/07/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
15.50% |
6,560.25 |
UKX |
| GB00BBJNMX34 |
FTSE 100 Defensive Kick-Out Plan 10 COL |
29/07/2013 |
29/07/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
11.50% |
6,560.25 |
UKX |
| GB00BBJNMS80 |
FTSE 100 Enhanced Kick-Out 37 COL |
29/07/2013 |
29/07/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.00% |
6,560.25 |
UKX |
| GB00BBJNMR73 |
FTSE 100 Enhanced Kick-Out 37 INV |
29/07/2013 |
29/07/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.25% |
6,560.25 |
UKX |
| GB00BBJNMQ66 |
FTSE 100 Enhanced Kick-Out 37 INV Commission |
29/07/2013 |
29/07/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.50% |
6,560.25 |
UKX |
| GB00BC9LDM00 |
FTSE 100 Defensive Kick-Out Plan 11 INV |
02/09/2013 |
02/09/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
15.50% |
6,506.19 |
UKX |
| GB00BC9LDG40 |
FTSE 100 Enhanced Kick-Out 38 INV Commission |
02/09/2013 |
02/09/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.25% |
6,506.19 |
UKX |
| GB00BC9LDK85 |
FTSE 100 Defined Returns 5 INV |
02/09/2013 |
02/09/2016 |
|
Matured |
|
29/10/2025 |
Defined Returns |
40.50% |
6,506.19 |
UKX |
| GB00BC9LDL92 |
FTSE 100 Defined Returns 5 COL |
02/09/2013 |
02/09/2016 |
|
Matured |
|
29/10/2025 |
Defined Returns |
30.00% |
6,506.19 |
UKX |
| GB00BC9LDN17 |
FTSE 100 Defensive Kick-Out Plan 11 COL |
02/09/2013 |
02/09/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
12.00% |
6,506.19 |
UKX |
| GB00BC9LDJ70 |
FTSE 100 Enhanced Kick-Out 38 COL |
02/09/2013 |
02/09/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.25% |
6,506.19 |
UKX |
| GB00BC9LDH56 |
FTSE 100 Enhanced Kick-Out 38 INV |
02/09/2013 |
02/09/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.25% |
6,506.19 |
UKX |
| GB00BD007659 |
FTSE 100 Enhanced Income 5 |
15/10/2013 |
15/10/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
37.44% |
6,549.11 |
UKX |
| GB00BD007C10 |
FTSE 100 Defensive Kick-Out Plan 12 INV |
15/10/2013 |
15/10/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
14.50% |
6,549.11 |
UKX |
| G3YF000P44O1 |
FTSE 100 3yr Deposit Plan 44 |
15/10/2013 |
17/10/2016 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
12.00% |
6,549.11 |
UKX |
| GKO5Y2001P44 |
FTSE 100 Kick-Out Deposit Plan 39 |
15/10/2013 |
17/10/2016 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.75% |
6,549.11 |
UKX |
| GB00BD007766 |
Dual Index Enhanced Kick-Out 1 COL |
15/10/2013 |
17/10/2016 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
33.00% |
6,549.11 |
UKX |
| GB00BD007B03 |
FTSE 100 Defensive Kick-Out Plan 12 COL |
15/10/2013 |
15/10/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
11.00% |
6,549.11 |
UKX |
| GB00BD007543 |
FTSE 100 Enhanced Income 5 Commission |
15/10/2013 |
15/10/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
34.56% |
6,549.11 |
UKX |
| GB00BD007F41 |
FTSE 100 Enhanced Kick-Out 39 INV |
15/10/2013 |
17/10/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
30.00% |
6,549.11 |
UKX |
| GB00BD007D27 |
FTSE 100 Enhanced Kick-Out 39 COL |
15/10/2013 |
17/10/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
24.00% |
6,549.11 |
UKX |
| TIDP04000044 |
FTSE 100 Target Income Deposit Plan 6 |
15/10/2013 |
15/10/2019 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
30.00% |
6,549.11 |
UKX |
| GB00BD007980 |
Dual Index Defensive Kick-Out 1 INV |
15/10/2013 |
17/10/2016 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Kickout |
30.00% |
6,549.11 |
UKX |
| DGP04L44000I |
FTSE 100 Deposit Growth Plan 27 |
15/10/2013 |
15/10/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
18.40% |
6,549.11 |
UKX |
| DGP04L44000R |
Even 30 Deposit Growth Plan 27 |
15/10/2013 |
15/10/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
24.51% |
1,944.18 |
EVEN30 |
| GB00BD007G57 |
FTSE 100 Enhanced Kick-Out 39 INV Commission |
15/10/2013 |
17/10/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
23.25% |
6,549.11 |
UKX |
| GB00BD007873 |
Dual Index Enhanced Kick-Out 1 INV |
15/10/2013 |
17/10/2016 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
37.50% |
6,549.11 |
UKX |
| GB00BCZZXC64 |
Dual Index Defensive Kick-Out 1 COL |
15/10/2013 |
17/10/2016 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Kickout |
24.00% |
6,549.11 |
UKX |
| GKO5Y2001P45 |
FTSE 100 Kick-Out Deposit Plan 40 |
25/11/2013 |
25/11/2016 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.50% |
6,694.62 |
UKX |
| GB00BDSTQC36 |
FTSE 100 Defensive Kick-Out Plan 13 INV |
25/11/2013 |
25/11/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
15.00% |
6,694.62 |
UKX |
| GB00BDSTQF66 |
FTSE 100 Enhanced Income 6 |
25/11/2013 |
25/11/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
39.60% |
6,694.62 |
UKX |
| GB00BDSTQ909 |
FTSE 100 Enhanced Kick-Out 40 INV |
25/11/2013 |
25/11/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.25% |
6,694.62 |
UKX |
| GB00BDSTQG73 |
FTSE 100 Enhanced Income 6 Commission |
25/11/2013 |
25/11/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
36.72% |
6,694.62 |
UKX |
| G3YF000P45O1 |
FTSE 100 3yr Deposit Plan 45 |
25/11/2013 |
25/11/2016 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
13.00% |
6,694.62 |
UKX |
| TIDP04000045 |
FTSE 100 Target Income Deposit Plan 7 |
25/11/2013 |
25/11/2019 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
30.90% |
6,694.62 |
UKX |
| DGP04L45000I |
FTSE 100 Deposit Growth Plan 28 |
25/11/2013 |
26/11/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
13.87% |
6,694.62 |
UKX |
| DGP04L45000R |
Even 30 Deposit Growth Plan 28 |
25/11/2013 |
26/11/2018 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
16.53% |
2,008.17 |
EVEN30 |
| GB00BDSTQK10 |
Dual Index Defensive Kick-Out 2 INV |
25/11/2013 |
25/11/2016 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Kickout |
30.75% |
6,694.62 |
UKX |
| GB00BDSTQL27 |
Dual Index Defensive Kick-Out 2 COL |
25/11/2013 |
25/11/2016 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Kickout |
26.25% |
6,694.62 |
UKX |
| XS0975120782 |
Dual Index Enhanced Kick-Out 2 INV |
25/11/2013 |
25/11/2014 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
13.00% |
0.00 |
SPX |
| GB00BDSTQD43 |
FTSE 100 Defensive Kick-Out Plan 13 COL |
25/11/2013 |
25/11/2015 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
11.50% |
6,694.62 |
UKX |
| GB00BDSTQ891 |
FTSE 100 Enhanced Kick-Out 40 INV Commission |
25/11/2013 |
25/11/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.00% |
6,694.62 |
UKX |
| GB00BDSTQB29 |
FTSE 100 Enhanced Kick-Out 40 COL |
25/11/2013 |
25/11/2014 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.25% |
6,694.62 |
UKX |
| XS0975120949 |
Dual Index Enhanced Kick-Out 2 COL |
25/11/2013 |
25/11/2014 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
11.50% |
0.00 |
SPX |
| G3YF000P64O1 |
FTSE 100 3yr Deposit Plan 46 |
21/01/2014 |
23/01/2017 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
13.00% |
6,834.26 |
UKX |
| GKO5Y2001P46 |
FTSE 100 Kick-Out Deposit Plan 41 |
21/01/2014 |
23/01/2017 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.50% |
6,834.26 |
UKX |
| GB00BGCC4N62 |
Dual Index Defensive Kick-Out 3 COL |
21/01/2014 |
23/01/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Kickout |
24.75% |
6,834.26 |
UKX |
| GB00BGCC4L49 |
FTSE 100 Defensive Kick-Out Plan 14 INV |
21/01/2014 |
23/01/2017 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
22.50% |
6,834.26 |
UKX |
| TIDP04000046 |
FTSE 100 Target Income Deposit Plan 8 |
21/01/2014 |
21/01/2020 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
30.00% |
6,834.26 |
UKX |
| DGP04L46000I |
Even 30 Deposit Growth Plan 29 |
21/01/2014 |
22/01/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
10.18% |
2,025.92 |
EVEN30 |
| DGP04L46000R |
FTSE 100 Deposit Growth Plan 29 |
21/01/2014 |
22/01/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
7.27% |
6,834.26 |
UKX |
| GB00BGCC4P86 |
FTSE 100 Enhanced Income 7 |
21/01/2014 |
21/01/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
38.16% |
6,834.26 |
UKX |
| GB00BGCC4Q93 |
FTSE 100 Enhanced Income 7 Commission |
21/01/2014 |
21/01/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
35.28% |
6,834.26 |
UKX |
| XS0993116069 |
Dual Index Enhanced Kick-Out 3 INV |
21/01/2014 |
23/01/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
39.00% |
6,834.26 |
UKX |
| GB00BGCC4H03 |
FTSE 100 Enhanced Kick-Out 41 INV Commission |
21/01/2014 |
23/01/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
24.00% |
6,834.26 |
UKX |
| GB00BGCC4J27 |
FTSE 100 Enhanced Kick-Out 41 INV |
21/01/2014 |
23/01/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
30.75% |
6,834.26 |
UKX |
| XS0993116143 |
Dual Index Enhanced Kick-Out 3 COL |
21/01/2014 |
23/01/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
33.00% |
6,834.26 |
UKX |
| GB00BGCC4M55 |
Dual Index Defensive Kick-Out 3 INV |
21/01/2014 |
23/01/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Kickout |
31.50% |
6,834.26 |
UKX |
| GB00BGCC4K32 |
FTSE 100 Enhanced Kick-Out 41 COL |
21/01/2014 |
23/01/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
24.75% |
6,834.26 |
UKX |
| GKO5Y2001P47 |
FTSE 100 Kick-Out Deposit Plan 42 |
03/03/2014 |
03/03/2017 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.50% |
6,708.35 |
UKX |
| GB00BHC8KB12 |
Dual Index Defensive Kick-Out 4 INV |
03/03/2014 |
03/03/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Kickout |
30.00% |
6,708.35 |
UKX |
| GB00BHC8K996 |
FTSE 100 Defensive Kick-Out Plan 15 |
03/03/2014 |
03/03/2016 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
14.50% |
6,708.35 |
UKX |
| G3YF000P47O1 |
FTSE 100 3yr Deposit Plan 47 |
03/03/2014 |
03/03/2017 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
13.00% |
6,708.35 |
UKX |
| TIDP04000047 |
FTSE 100 Target Income Deposit Plan 9 |
03/03/2014 |
03/03/2020 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
30.00% |
6,708.35 |
UKX |
| DGP04L47000I |
FTSE 100 Deposit Growth Plan 30 |
03/03/2014 |
04/03/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
7.37% |
6,708.35 |
UKX |
| DGP04L47000R |
Even 30 Deposit Growth Plan 30 |
03/03/2014 |
04/03/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
7.90% |
2,024.70 |
EVEN30 |
| GB00BHC8KF59 |
FTSE 100 Enhanced Income 8 Commission |
03/03/2014 |
03/03/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
33.84% |
6,708.35 |
UKX |
| GB00BHC8KD36 |
FTSE 100 Enhanced Income 8 |
03/03/2014 |
03/03/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
36.72% |
6,708.35 |
UKX |
| GB00BHC8KC29 |
Dual Index Defensive Kick-Out 4 COL |
03/03/2014 |
03/03/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Kickout |
24.00% |
6,708.35 |
UKX |
| GB00BHC8K665 |
FTSE 100 Enhanced Kick-Out 42 INV Commission |
03/03/2014 |
03/03/2015 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
7.75% |
6,708.35 |
UKX |
| GB00BHC8K772 |
FTSE 100 Enhanced Kick-Out 42 INV |
03/03/2014 |
03/03/2015 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
6,708.35 |
UKX |
| GB00BHC8K889 |
FTSE 100 Enhanced Kick-Out 42 COL |
03/03/2014 |
03/03/2015 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.00% |
6,708.35 |
UKX |
| XS1009921245 |
Dual Index Enhanced Kick-Out 4 INV |
03/03/2014 |
03/03/2015 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
13.00% |
6,708.35 |
UKX |
| XS1009921831 |
Dual Index Enhanced Kick-Out 4 COL |
03/03/2014 |
03/03/2015 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
11.00% |
6,708.35 |
UKX |
| GKO5Y2001P48 |
FTSE 100 Kick-Out Deposit Plan 43 |
28/04/2014 |
28/04/2017 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.75% |
6,700.16 |
UKX |
| GB00BJTCRQ49 |
FTSE 100 Defensive Kick-Out Plan 16 |
28/04/2014 |
28/04/2016 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
14.00% |
6,700.16 |
UKX |
| G3YF000P48O1 |
FTSE 100 3yr Deposit Plan 48 |
28/04/2014 |
28/04/2017 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
12.00% |
6,700.16 |
UKX |
| GB00BJTCRN18 |
FTSE 100 Enhanced Kick-Out 43 INV |
28/04/2014 |
28/04/2015 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.50% |
6,700.16 |
UKX |
| TIDP04000048 |
FTSE 100 Target Income Deposit Plan 10 |
28/04/2014 |
28/04/2020 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
24.25% |
6,700.16 |
UKX |
| XS1032748342 |
Dual Index Enhanced Kick-Out 5 INV |
28/04/2014 |
28/04/2015 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
12.50% |
6,700.16 |
UKX |
| GB5YRDEP0148 |
FTSE 100 5 Year Deposit Plus Plan 1 |
28/04/2014 |
29/04/2019 |
|
Matured |
|
29/10/2025 |
5 Year Deposit Plus |
30.00% |
6,700.16 |
UKX |
| DGP04L48000R |
Even 30 Deposit Growth Plan 31 |
28/04/2014 |
29/04/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
6.03% |
2,053.83 |
EVEN30 |
| GB00BJTCRP32 |
FTSE 100 Enhanced Kick-Out 43 COL |
28/04/2014 |
28/04/2015 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.00% |
6,700.16 |
UKX |
| GB00BJTCRR55 |
FTSE 100 Enhanced Income 9 |
28/04/2014 |
28/04/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
36.00% |
6,700.16 |
UKX |
| XS1032748771 |
Dual Index Enhanced Kick-Out 5 COL |
28/04/2014 |
28/04/2015 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
10.50% |
6,700.16 |
UKX |
| GKO5Y2001P49 |
FTSE 100 Kick-Out Deposit Plan 44 |
09/06/2014 |
09/06/2017 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.00% |
6,875.00 |
UKX |
| TIDP04000049 |
FTSE 100 Target Income Deposit Plan 11 |
09/06/2014 |
09/06/2020 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
28.50% |
6,875.00 |
UKX |
| GB5YRDEP0149 |
FTSE 100 5 Year Deposit Plus Plan 2 |
09/06/2014 |
10/06/2019 |
|
Matured |
|
29/10/2025 |
5 Year Deposit Plus |
27.50% |
6,875.00 |
UKX |
| GB00BLLHGZ32 |
FTSE 100 Enhanced Income 10 |
09/06/2014 |
09/06/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
33.12% |
6,875.00 |
UKX |
| GB00BLLHGX18 |
FTSE 100 Enhanced Kick-Out 44 COL G4 |
09/06/2014 |
09/06/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
24.00% |
6,875.00 |
UKX |
| DGP04L49000R |
Even 30 Deposit Growth Plan 32 |
09/06/2014 |
10/06/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.88% |
2,139.33 |
EVEN30 |
| GB00BLLHGW01 |
FTSE 100 Enhanced Kick-Out 44 COL UK5 |
09/06/2014 |
09/06/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
22.50% |
6,875.00 |
UKX |
| GB00BLLHGV93 |
FTSE 100 Enhanced Kick-Out 44 INV |
09/06/2014 |
09/06/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
29.25% |
6,875.00 |
UKX |
| GB00BLLHGY25 |
FTSE 100 Defensive Kick-Out Plan 17 |
09/06/2014 |
09/06/2017 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
21.75% |
6,875.00 |
UKX |
| GB00BLLHH166 |
Dual Index Enhanced Kick-Out 6 COL UK5 |
09/06/2014 |
09/06/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
30.00% |
6,875.00 |
UKX |
| GB00BLLHH059 |
Dual Index Enhanced Kick-Out 6 INV |
09/06/2014 |
09/06/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
34.50% |
6,875.00 |
UKX |
| DGP04L50000R |
Even 30 Deposit Growth Plan 33 |
21/07/2014 |
22/07/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
10.15% |
2,099.93 |
EVEN30 |
| GKO5Y2001P50 |
FTSE 100 Kick-Out Deposit Plan 45 |
21/07/2014 |
21/07/2017 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.00% |
6,728.44 |
UKX |
| GB00BMPHHG47 |
FTSE 100 Enhanced Kick-Out 45 COL UK5 |
21/07/2014 |
21/07/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
24.45% |
6,728.44 |
UKX |
| GB00BMPHHF30 |
FTSE 100 Enhanced Kick-Out 45 |
21/07/2014 |
21/07/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
27.75% |
6,728.44 |
UKX |
| GB00BMPHHS68 |
Dual Index Enhanced Kick-Out 7 INV |
21/07/2014 |
21/07/2015 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
11.00% |
6,728.44 |
UKX |
| TIDP04000050 |
FTSE 100 Target Income Deposit Plan 12 |
21/07/2014 |
21/07/2020 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
26.40% |
6,728.44 |
UKX |
| GB00BMPHHK82 |
FTSE 100 Enhanced Income 11 |
21/07/2014 |
21/07/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
32.40% |
6,728.44 |
UKX |
| GB00BMPHHH53 |
FTSE 100 Enhanced Kick-Out 45 COL G4 |
21/07/2014 |
21/07/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
25.20% |
6,728.44 |
UKX |
| GB00BMPHHT75 |
Dual Index Enhanced Kick-Out 7 COL |
21/07/2014 |
21/07/2015 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
9.50% |
6,728.44 |
UKX |
| GB5YRDEP0150 |
FTSE 100 5 Year Deposit Plus Plan 3 |
21/07/2014 |
22/07/2019 |
|
Matured |
|
29/10/2025 |
5 Year Deposit Plus |
26.00% |
6,728.44 |
UKX |
| GB00BMPHHJ77 |
FTSE 100 Defensive Kick-Out Plan 18 |
21/07/2014 |
21/07/2017 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
21.00% |
6,728.44 |
UKX |
| TIDP04000051 |
FTSE 100 Target Income Deposit Plan 13 |
02/09/2014 |
02/09/2020 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
18.00% |
6,829.17 |
UKX |
| GB00BNQ4GQ47 |
FTSE 100 Enhanced Income 12 |
02/09/2014 |
02/09/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
32.40% |
6,829.17 |
UKX |
| DGP04L5100O2 |
Even 30 Deposit Growth Plan 34 - Option 2 |
02/09/2014 |
02/09/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
26.00% |
2,127.17 |
EVEN30 |
| GKO6Y2001P51 |
FTSE 100 Kick-Out Deposit Plan 46 |
02/09/2014 |
04/09/2017 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.75% |
6,829.17 |
UKX |
| GB00BNQ4GL91 |
FTSE 100 Enhanced Kick-Out 46 |
02/09/2014 |
04/09/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
30.00% |
6,829.17 |
UKX |
| GB00BNQ4GN16 |
FTSE 100 Enhanced Kick-Out 46 COL G4 |
02/09/2014 |
04/09/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
24.60% |
6,829.17 |
UKX |
| DGP04L5100O1 |
Even 30 Deposit Growth Plan 34 - Option 1 |
02/09/2014 |
02/09/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
9.91% |
2,127.17 |
EVEN30 |
| GB5YRDEP0151 |
FTSE 100 5 Year Deposit Plus Plan 4 |
02/09/2014 |
02/09/2019 |
|
Matured |
|
29/10/2025 |
5 Year Deposit Plus |
27.50% |
6,829.17 |
UKX |
| GB00BNQ4GP30 |
FTSE 100 Defensive Kick-Out Plan 19 |
02/09/2014 |
04/09/2017 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
22.50% |
6,829.17 |
UKX |
| GB00BNQ4M666 |
Dual Index Enhanced Kick-Out 8 INV |
02/09/2014 |
05/09/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
33.00% |
6,829.17 |
UKX |
| GB00BNQ4GM09 |
FTSE 100 Enhanced Kick-Out 46 COL UK5 |
02/09/2014 |
04/09/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
24.00% |
6,829.17 |
UKX |
| GB00BNQ4SH93 |
Euro Stoxx 50 Defensive Enhanced Returns Plan 1 - Op 2 |
02/09/2014 |
02/09/2020 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
60.00% |
3,180.29 |
SX5E |
| GB00BNQ4SG86 |
FTSE 100 Defensive Enhanced Returns Plan 1 - Op 1 |
02/09/2014 |
02/09/2020 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
0.00% |
6,829.17 |
UKX |
| GB00BNQ4SF79 |
Dual Index Enhanced Kick-Out 8 COL UK5 |
02/09/2014 |
05/09/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
27.00% |
6,829.17 |
UKX |
| GB00BPZ5V786 |
FTSE 100 Enhanced Income 13 |
14/10/2014 |
14/10/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
33.84% |
6,392.68 |
UKX |
| DGP35L5200O2 |
Even 30 Deposit Growth Plan 35 - Option 2 |
14/10/2014 |
14/10/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
27.50% |
2,001.40 |
EVEN30 |
| TIDP14000052 |
FTSE 100 Target Income Deposit Plan 14 |
14/10/2014 |
14/10/2020 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
27.90% |
6,392.68 |
UKX |
| GKO6Y2001P52 |
FTSE 100 Kick-Out Deposit Plan 47 |
14/10/2014 |
16/10/2017 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
16.50% |
6,392.68 |
UKX |
| DGP35L5200O1 |
Even 30 Deposit Growth Plan 35 - Option 1 |
14/10/2014 |
14/10/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
26.25% |
2,001.40 |
EVEN30 |
| GB5YRDEP0152 |
FTSE 100 5 Year Deposit Plus Plan 5 |
14/10/2014 |
14/10/2019 |
|
Matured |
|
29/10/2025 |
5 Year Deposit Plus |
30.00% |
6,392.68 |
UKX |
| GB00BPZ5V455 |
FTSE 100 Enhanced Kick-Out 47 |
14/10/2014 |
14/10/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
21.00% |
6,392.68 |
UKX |
| GB00BPZ5V562 |
FTSE 100 Enhanced Kick-Out 47 UK5 |
14/10/2014 |
14/10/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.50% |
6,392.68 |
UKX |
| GB00BPZ5X618 |
Dual Index Enhanced Kick-Out 9 UK5 |
14/10/2014 |
14/10/2016 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
20.00% |
6,392.68 |
UKX |
| GB00BPZ5V901 |
Dual Index Enhanced Kick-Out 9 INV |
14/10/2014 |
14/10/2016 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
24.00% |
6,392.68 |
UKX |
| GB00BPZ5V679 |
FTSE 100 Defensive Kick-Out Plan 20 |
14/10/2014 |
16/10/2017 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
23.25% |
6,392.68 |
UKX |
| GB00BPZ5X725 |
FTSE 100 Defensive Enhanced Returns Plan 2 - Op 1 - INV |
14/10/2014 |
14/10/2020 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
66.00% |
6,392.68 |
UKX |
| GB00BPZ5X832 |
FTSE 100 Defensive Enhanced Returns Plan 2 - Op 1 - UK5 |
14/10/2014 |
14/10/2020 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
45.00% |
6,392.68 |
UKX |
| GB00BPZ5X949 |
Euro Stoxx 50 Defensive Enhanced Returns Plan 2 - Op 2 - INV |
14/10/2014 |
14/10/2020 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
87.00% |
3,000.99 |
SX5E |
| GB00BPZ5XB63 |
Euro Stoxx 50 Defensive Enhanced Returns Plan 2 - Op 2 - UK5 |
14/10/2014 |
14/10/2020 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
67.00% |
3,000.99 |
SX5E |
| TI5300000000 |
FTSE 100 Target Income Deposit Plan 15 |
24/11/2014 |
24/11/2020 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
26.40% |
6,729.79 |
UKX |
| KD5300000000 |
FTSE 100 Kick-Out Deposit Plan 48 |
24/11/2014 |
24/11/2017 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.75% |
6,729.79 |
UKX |
| GB00BQSTNC34 |
FTSE 100 Enhanced Kick-Out 48 COL |
24/11/2014 |
24/11/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.00% |
6,729.79 |
UKX |
| GB00BQSTP499 |
Dual Index Enhanced Kick-Out 10 INV |
24/11/2014 |
25/11/2016 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
24.00% |
6,729.79 |
UKX |
| GB00BQSTNF64 |
FTSE 100 Enhanced Income 14 |
24/11/2014 |
24/11/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
32.40% |
6,729.79 |
UKX |
| GB00BQSTNB27 |
FTSE 100 Enhanced Kick-Out 48 |
24/11/2014 |
24/11/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
20.50% |
6,729.79 |
UKX |
| GB00BQSTND41 |
FTSE 100 Defensive Kick-Out Plan 21 |
24/11/2014 |
24/11/2017 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
22.50% |
6,729.79 |
UKX |
| GB00BQSTV075 |
Euro Stoxx 50 Defensive Enhanced Returns Plan 3 - Op 2 - COL |
24/11/2014 |
24/11/2020 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
72.00% |
3,211.70 |
SX5E |
| DP5300000000 |
FTSE 100 5 Year Deposit Plus Plan 6 |
24/11/2014 |
25/11/2019 |
|
Matured |
|
29/10/2025 |
5 Year Deposit Plus |
25.00% |
6,729.79 |
UKX |
| DG2530000000 |
Even 30 Deposit Growth Plan 36 - Option 2 |
24/11/2014 |
25/11/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
24.00% |
2,122.77 |
EVEN30 |
| GB00BQSTTX66 |
Dual Index Enhanced Kick-Out 10 COL |
24/11/2014 |
25/11/2016 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
20.00% |
6,729.79 |
UKX |
| GB00BQSTTZ80 |
Euro Stoxx 50 Defensive Enhanced Returns Plan 3 - Op 2 - INV |
24/11/2014 |
24/11/2020 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
95.00% |
3,211.70 |
SX5E |
| DG1530000000 |
Even 30 Deposit Growth Plan 36 - Option 1 |
24/11/2014 |
25/11/2019 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
13.24% |
2,122.77 |
EVEN30 |
| GB00BQSTTY73 |
FTSE 100 Defensive Enhanced Returns Plan 3 - Op 1 - INV |
24/11/2014 |
24/11/2020 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
66.00% |
6,729.79 |
UKX |
| GB00BQSTP507 |
FTSE 100 Defensive Enhanced Returns Plan 3 - Op 1 - COL |
24/11/2014 |
24/11/2020 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
50.00% |
6,729.79 |
UKX |
| GB00BRWR2F67 |
FTSE 100 Enhanced Kick-Out 49 COL Fin Inst |
05/01/2015 |
05/01/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.00% |
6,417.16 |
UKX |
| KD5400000000 |
FTSE 100 Kick-Out Deposit Plan 49 |
05/01/2015 |
05/01/2018 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
14.25% |
6,417.16 |
UKX |
| GB00BRWR2T04 |
Dual Index Enhanced Kick-Out 11 INV |
05/01/2015 |
05/01/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
24.00% |
6,417.16 |
UKX |
| GB00BRWR2H81 |
FTSE 100 Enhanced Income 15 |
05/01/2015 |
05/01/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
31.68% |
6,417.16 |
UKX |
| DG1540000000 |
Even 30 Deposit Growth Plan 37 - Option 1 |
05/01/2015 |
06/01/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
19.10% |
2,063.02 |
EVEN30 |
| DG2540000000 |
Even 30 Deposit Growth Plan 37 - Option 2 |
05/01/2015 |
06/01/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
22.00% |
2,063.02 |
EVEN30 |
| DP5400000000 |
FTSE 100 5 Year Deposit Plus Plan 7 |
05/01/2015 |
06/01/2020 |
|
Matured |
|
29/10/2025 |
5 Year Deposit Plus |
20.00% |
6,417.16 |
UKX |
| TI5400000000 |
FTSE 100 Target Income Deposit Plan 16 |
05/01/2015 |
05/01/2021 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
24.00% |
6,417.16 |
UKX |
| GB00BRWR2D44 |
FTSE 100 Enhanced Kick-Out 49 |
05/01/2015 |
05/01/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
20.50% |
6,417.16 |
UKX |
| GB00BRWR2G74 |
FTSE 100 Defensive Kick-Out Plan 22 |
05/01/2015 |
05/01/2018 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
22.50% |
6,417.16 |
UKX |
| GB00BRWR2M35 |
Dual Index Enhanced Kick-Out 11 COL |
05/01/2015 |
05/01/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
20.00% |
6,417.16 |
UKX |
| GB00BRWR2V26 |
FTSE 100 Defensive Enhanced Returns Plan 4 |
05/01/2015 |
05/01/2021 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
68.00% |
6,417.16 |
UKX |
| GB00BRWR2W33 |
Euro Stoxx 50 Defensive Enhanced Returns Plan 4 |
05/01/2015 |
05/01/2021 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
82.00% |
3,023.14 |
SX5E |
| GB00BRWR2X40 |
FTSE 100 Enhanced Kick-Out 49 COL Gilt |
05/01/2015 |
05/01/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.00% |
6,417.16 |
UKX |
| KD5500000000 |
FTSE 100 Kick-Out Deposit Plan 50 |
02/03/2015 |
02/03/2018 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.50% |
6,940.64 |
UKX |
| GB00BSTK4J37 |
FTSE 100 Defensive Kick-Out Plan 23 |
02/03/2015 |
02/03/2018 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
23.25% |
6,940.64 |
UKX |
| DG2550000000 |
Even 30 Deposit Growth Plan 38 - Option 2 |
02/03/2015 |
02/03/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
20.00% |
2,203.45 |
EVEN30 |
| GB00BSTK4Q04 |
Dual Index Enhanced Kick-Out 12 INV |
02/03/2015 |
02/03/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
24.00% |
6,940.64 |
UKX |
| DP5500000000 |
FTSE 100 5 Year Deposit Plus Plan 8 |
02/03/2015 |
02/03/2020 |
|
Matured |
|
29/10/2025 |
5 Year Deposit Plus |
17.50% |
6,940.64 |
UKX |
| TI5500000000 |
FTSE 100 Target Income Deposit Plan 17 |
02/03/2015 |
02/03/2021 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
24.00% |
6,940.64 |
UKX |
| DG1550000000 |
Even 30 Deposit Growth Plan 38 - Option 1 |
02/03/2015 |
02/03/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
9.75% |
2,203.45 |
EVEN30 |
| GB00BSTK4R11 |
Euro Stoxx 50 Defensive Enhanced Returns Plan 5 |
02/03/2015 |
02/03/2021 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
67.00% |
3,591.09 |
SX5E |
| GB00BSTK4L58 |
Dual Index Enhanced Kick-Out 12 COL |
02/03/2015 |
02/03/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
20.00% |
6,940.64 |
UKX |
| GB00BSTK4K42 |
FTSE 100 Enhanced Income 16 |
02/03/2015 |
02/03/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
31.68% |
6,940.64 |
UKX |
| GB00BSTK4H13 |
FTSE 100 Enhanced Kick-Out 50 COL Fin Inst |
02/03/2015 |
02/03/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
17.00% |
6,940.64 |
UKX |
| GB00BSTK4M65 |
FTSE 100 Enhanced Kick-Out 50 COL Gilt |
02/03/2015 |
02/03/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.00% |
6,940.64 |
UKX |
| GB00BSTK4G06 |
FTSE 100 Enhanced Kick-Out 50 |
02/03/2015 |
02/03/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
21.00% |
6,940.64 |
UKX |
| SY1560000000 |
FTSE 100 6 Year Deposit Plan 1 |
27/04/2015 |
27/04/2021 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
0.00% |
7,103.98 |
UKX |
| KD5600000000 |
FTSE 100 Kick-Out Deposit Plan 51 |
27/04/2015 |
27/04/2018 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.00% |
7,103.98 |
UKX |
| GB00BVL8RL98 |
FTSE 100 Enhanced Kick-Out 51 |
27/04/2015 |
27/04/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
21.00% |
7,103.98 |
UKX |
| GB00BVL8S271 |
Dual Index Enhanced Kick-Out 13 INV |
27/04/2015 |
27/04/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
25.50% |
7,103.98 |
UKX |
| GB00BVL8RN13 |
FTSE 100 Defensive Kick-Out Plan 24 |
27/04/2015 |
27/04/2018 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
23.25% |
7,103.98 |
UKX |
| GB00BVL8RP37 |
FTSE 100 Enhanced Income 17 |
27/04/2015 |
27/04/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
31.68% |
7,103.98 |
UKX |
| DG1560000000 |
Even 30 Deposit Growth Plan 39 - Option 1 |
27/04/2015 |
27/04/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,230.37 |
EVEN30 |
| DG2560000000 |
Even 30 Deposit Growth Plan 39 - Option 2 |
27/04/2015 |
27/04/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
5.00% |
2,230.37 |
EVEN30 |
| GB00BVL8S388 |
Euro Stoxx 50 Defensive Enhanced Returns Plan 6 |
27/04/2015 |
27/04/2021 |
|
Matured |
|
29/10/2025 |
Defensive Enhanced Returns |
70.00% |
3,771.45 |
SX5E |
| GB00BVL8RY28 |
Dual Index Enhanced Kick-Out 13 COL |
27/04/2015 |
27/04/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout |
20.50% |
7,103.98 |
UKX |
| GB00BVL8RM06 |
FTSE 100 Enhanced Kick-Out 51 COL Fin Inst |
27/04/2015 |
27/04/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.50% |
7,103.98 |
UKX |
| GB00BVL8RZ35 |
FTSE 100 Enhanced Kick-Out 51 COL Gilt |
27/04/2015 |
27/04/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.50% |
7,103.98 |
UKX |
| GB00BVL8S503 |
Dual Index Step Down Kick-Out Plan 1 - Gilt |
27/04/2015 |
29/04/2019 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
38.00% |
7,103.98 |
UKX |
| KD5700000000 |
FTSE 100 Kick-Out Deposit Plan 52 |
08/06/2015 |
08/06/2018 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.00% |
6,790.04 |
UKX |
| GB00BWK24C93 |
FTSE 100 Enhanced Income 18 |
08/06/2015 |
08/06/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
0.00% |
6,790.04 |
UKX |
| DG1570000000 |
Even 30 Deposit Growth Plan 40 |
08/06/2015 |
08/06/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,156.28 |
EVEN30 |
| SY1570000000 |
FTSE 100 6 Year Deposit Plan 2 |
08/06/2015 |
08/06/2021 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
0.00% |
6,790.04 |
UKX |
| GB00BWK24J62 |
Dual Index Step Down Kick-Out Plan 2 - Gilt |
08/06/2015 |
08/06/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
18.00% |
6,790.04 |
UKX |
| GB00BWK24B86 |
FTSE 100 Defensive Kick-Out Plan 25 |
08/06/2015 |
08/06/2018 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
23.25% |
6,790.04 |
UKX |
| GB00BWK24969 |
FTSE 100 Enhanced Kick-Out 52 |
08/06/2015 |
08/06/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
18.50% |
6,790.04 |
UKX |
| GB00BWK25040 |
FTSE 100 Enhanced Kick-Out 52 COL Gilt |
08/06/2015 |
08/06/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
14.50% |
6,790.04 |
UKX |
| GB00BWK24H49 |
FTSE 100 Enhanced Kick-Out 52 COL Fin Inst |
08/06/2015 |
08/06/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.50% |
6,790.04 |
UKX |
| XS1233316642 |
Dual Index Step Down Kick-Out Plan 3 - Gilt |
20/07/2015 |
22/07/2019 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
40.00% |
3,686.58 / 6,788.69 |
SX5E / UKX |
| KD5800000000 |
FTSE 100 Kick-Out Deposit Plan 53 |
20/07/2015 |
20/07/2018 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.75% |
6,788.69 |
UKX |
| DG1580000000 |
Even 30 Deposit Growth Plan 41 |
20/07/2015 |
20/07/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,192.99 |
EVEN30 |
| SY1580000000 |
FTSE 100 6 Year Deposit Plan 3 |
20/07/2015 |
20/07/2021 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
35.95% |
6,788.69 |
UKX |
| GB00BXDZ3G90 |
FTSE 100 Enhanced Income 19 |
20/07/2015 |
20/07/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
30.96% |
6,788.69 |
UKX |
| XS1234270681 |
FTSE 100 Defensive Kick-Out Plan 26 |
20/07/2015 |
20/07/2018 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
23.25% |
6,788.69 |
UKX |
| XS1234269832 |
FTSE 100 Enhanced Kick-Out 53 |
20/07/2015 |
20/07/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
18.50% |
6,788.69 |
UKX |
| XS1233315917 |
FTSE 100 Enhanced Kick-Out 53 COL Gilt |
20/07/2015 |
20/07/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
14.50% |
6,788.69 |
UKX |
| XS1234269915 |
FTSE 100 Enhanced Kick-Out 53 COL Fin Inst |
20/07/2015 |
20/07/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.50% |
6,788.69 |
UKX |
| GB00BXDZ3H08 |
Dual Index Contingent Income Plan 1 |
20/07/2015 |
20/07/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Contingent Income |
35.70% |
3,686.58 / 6,788.69 |
SX5E / UKX |
| XS1251929474 |
FTSE 100 Defensive Kick-Out Plan 27 |
01/09/2015 |
03/09/2018 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
24.00% |
6,058.54 |
UKX |
| KD5900000000 |
FTSE 100 Kick-Out Deposit Plan 54 |
01/09/2015 |
03/09/2018 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.50% |
6,058.54 |
UKX |
| DP0100000000 |
FTSE 100 4 Year Deposit Plan 1 |
01/09/2015 |
02/09/2019 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
17.00% |
6,058.54 |
UKX |
| XS1251929557 |
FTSE 100 Enhanced Kick-Out 54 COL Gilt |
01/09/2015 |
01/09/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
7.25% |
6,058.54 |
UKX |
| DG1590000000 |
Even 30 Deposit Growth Plan 42 |
01/09/2015 |
01/09/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,012.84 |
Even30 |
| XS1251929631 |
Dual Index Step Down Kick-Out Plan 4 - Fin Inst |
01/09/2015 |
01/09/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
19.20% |
6,058.54 |
UKX |
| XS1251929128 |
FTSE 100 Enhanced Kick-Out 54 |
01/09/2015 |
01/09/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
6,058.54 |
UKX |
| GB00BYP1SP61 |
Dual Index Contingent Income Plan 2 |
01/09/2015 |
01/09/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Contingent Income |
35.70% |
3,188.73 / 6,058.54 |
SX5E / UKX |
| GB00BYP1SM31 |
FTSE 100 Enhanced Income 20 |
01/09/2015 |
01/09/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
31.68% |
6,058.54 |
UKX |
| DD0100000000 |
FTSE 100 6 Year Defensive Deposit Plan 1 |
01/09/2015 |
01/09/2021 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
34.00% |
6,058.54 |
UKX |
| XS1251929714 |
Dual Index Step Down Kick-Out Plan 4 - Gilt |
01/09/2015 |
01/09/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
17.20% |
6,058.54 |
UKX |
| XS1251929391 |
FTSE 100 Enhanced Kick-Out 54 COL Fin Inst |
01/09/2015 |
01/09/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
7.75% |
6,058.54 |
UKX |
| KD6000000000 |
FTSE 100 Kick-Out Deposit Plan 55 |
12/10/2015 |
12/10/2018 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.50% |
6,371.18 |
UKX |
| DP6000000000 |
FTSE 100 4 Year Deposit Plan 2 |
12/10/2015 |
14/10/2019 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
17.00% |
6,371.18 |
UKX |
| GB00BYY91W99 |
FTSE 100 Enhanced Income 21 |
12/10/2015 |
12/10/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
0.00% |
6,371.18 |
UKX |
| XS1272204097 |
FTSE 100 Defensive Kick-Out Plan 28 |
12/10/2015 |
12/10/2018 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
24.00% |
6,371.18 |
UKX |
| XS1272204253 |
Dual Index Step Down Kick-Out Plan 5 - INV |
12/10/2015 |
12/10/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
22.00% |
6,371.18 |
UKX |
| TI6000000000 |
FTSE 100 Target Income Deposit Plan 18 |
12/10/2015 |
12/10/2021 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
0.00% |
6,371.18 |
UKX |
| DG1600000000 |
Even 30 Deposit Growth Plan 43 |
12/10/2015 |
12/10/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,101.66 |
Even30 |
| DD6000000000 |
FTSE 100 6 Year Defensive Deposit Plan 2 |
12/10/2015 |
12/10/2021 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
33.00% |
6,371.18 |
UKX |
| XS1272204170 |
FTSE 100 Enhanced Kick-Out 55 COL Gilt |
12/10/2015 |
12/10/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
7.25% |
6,371.18 |
UKX |
| XS1272203875 |
FTSE 100 Enhanced Kick-Out 55 COL Fin Inst |
12/10/2015 |
12/10/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.00% |
6,371.18 |
UKX |
| XS1272202984 |
FTSE 100 Enhanced Kick-Out 55 |
12/10/2015 |
12/10/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
6,371.18 |
UKX |
| XS1272205573 |
Dual Index Step Down Kick-Out Plan 5 - Fin Inst |
12/10/2015 |
12/10/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
19.00% |
6,371.18 |
UKX |
| TI6100000000 |
FTSE 100 Target Income Deposit Plan 19 |
23/11/2015 |
23/11/2021 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
25.20% |
6,305.49 |
UKX |
| KD6100000000 |
FTSE 100 Kick-Out Deposit Plan 56 |
23/11/2015 |
23/11/2018 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.75% |
6,305.49 |
UKX |
| DG1610000000 |
Even 30 Deposit Growth Plan 44 |
23/11/2015 |
23/11/2020 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,124.88 |
Even30 |
| XS1291332010 |
FTSE 100 Defensive Kick-Out Plan 29 |
23/11/2015 |
23/11/2018 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
24.75% |
6,305.49 |
UKX |
| DP6100000000 |
FTSE 100 4 Year Deposit Plan 3 |
23/11/2015 |
25/11/2019 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
17.00% |
6,305.49 |
UKX |
| DD6100000000 |
FTSE 100 6 Year Defensive Deposit Plan 3 |
23/11/2015 |
23/11/2021 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
32.00% |
6,305.49 |
UKX |
| XS1291331475 |
FTSE 100 Enhanced Kick-Out 56 |
23/11/2015 |
23/11/2016 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.50% |
6,305.49 |
UKX |
| XS1291332440 |
FTSE 100 Enhanced Kick-Out 56 COL Gilt |
23/11/2015 |
23/11/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.00% |
6,305.49 |
UKX |
| XS1291332879 |
Dual Index Step Down Kick-Out Plan 6 - Fin Inst |
23/11/2015 |
23/11/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
20.50% |
6,305.49 |
UKX |
| XS1291331988 |
FTSE 100 Enhanced Kick-Out 56 COL Fin Inst |
23/11/2015 |
23/11/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
18.00% |
6,305.49 |
UKX |
| XS1291332796 |
Dual Index Step Down Kick-Out Plan 6 - INV |
23/11/2015 |
23/11/2017 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
23.50% |
6,305.49 |
UKX |
| GB00BYMK4N67 |
FTSE 100 Enhanced Income 22 |
23/11/2015 |
23/11/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
32.40% |
6,305.49 |
UKX |
| PP6100000001 |
FTSE 100 Retirement Deposit Plan 2 Option 1 |
23/11/2015 |
23/11/2021 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
31.50% |
6,305.49 |
UKX |
| PP6100000002 |
FTSE 100 Retirement Deposit Plan 2 Option 2 |
23/11/2015 |
23/11/2021 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
24.90% |
6,305.49 |
UKX |
| XS1314342350 |
FTSE 100 Enhanced Kick-Out 57 |
04/01/2016 |
04/01/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
6,093.43 |
UKX |
| GB00BYM2G580 |
FTSE 100 Enhanced Income 23 |
04/01/2016 |
04/01/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
26.40% |
6,093.43 |
UKX |
| TI6200000000 |
FTSE 100 Target Income Deposit Plan 20 |
04/01/2016 |
04/01/2022 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
20.00% |
6,093.43 |
UKX |
| KD6200000000 |
FTSE 100 Kick-Out Deposit Plan 57 |
04/01/2016 |
04/01/2019 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.75% |
6,093.43 |
UKX |
| DP6200000000 |
FTSE 100 4 Year Deposit Plan 4 |
04/01/2016 |
06/01/2020 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
17.00% |
6,093.43 |
UKX |
| DD6200000000 |
FTSE 100 6 Year Defensive Deposit Plan 4 |
04/01/2016 |
04/01/2022 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
30.00% |
6,093.43 |
UKX |
| DG1620000000 |
Even 30 Deposit Growth Plan 45 |
04/01/2016 |
04/01/2021 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,093.08 |
Even30 |
| XS1314342608 |
FTSE 100 Defensive Kick-Out Plan 30 |
04/01/2016 |
04/01/2019 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
24.00% |
6,093.43 |
UKX |
| XS1314342780 |
FTSE 100 Enhanced Kick-Out 57 COL Gilt |
04/01/2016 |
04/01/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.50% |
6,093.43 |
UKX |
| PP6200000001 |
FTSE 100 Retirement Deposit Plan 3 Option 1 |
04/01/2016 |
04/01/2022 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
30.00% |
6,093.43 |
UKX |
| PP6200000002 |
FTSE 100 Retirement Deposit Plan 3 Option 2 |
04/01/2016 |
04/01/2022 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
24.00% |
6,093.43 |
UKX |
| XS1314343754 |
Dual Index Step Down Kick-Out Plan 7 - Fin Inst |
04/01/2016 |
04/01/2018 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
19.00% |
6,093.43 |
UKX |
| XS1314343325 |
Dual Index Step Down Kick-Out Plan 7 - INV |
04/01/2016 |
04/01/2018 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
23.00% |
6,093.43 |
UKX |
| XS1314342517 |
FTSE 100 Enhanced Kick-Out 57 COL Fin Inst |
04/01/2016 |
04/01/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
17.00% |
6,093.43 |
UKX |
| KD6300000000 |
FTSE 100 Kick-Out Deposit Plan 58 |
01/03/2016 |
01/03/2019 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.75% |
6,152.88 |
UKX |
| TI6300000000 |
FTSE 100 Target Income Deposit Plan 21 |
01/03/2016 |
01/03/2022 |
|
Matured |
|
29/10/2025 |
Target Income Deposit |
24.60% |
6,152.88 |
UKX |
| DD6300000000 |
FTSE 100 6 Year Defensive Deposit Plan 5 |
01/03/2016 |
01/03/2022 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
30.00% |
6,152.88 |
UKX |
| XS1331737574 |
FTSE 100 Defensive Kick-Out Plan 31 |
01/03/2016 |
01/03/2019 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
12.47% |
6,152.88 |
UKX |
| XS1331737061 |
FTSE 100 Enhanced Kick-Out 58 |
01/03/2016 |
01/03/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.25% |
6,152.88 |
UKX |
| PP6300000001 |
FTSE 100 Retirement Deposit Plan 4 Option 1 |
01/03/2016 |
01/03/2022 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
30.00% |
6,152.88 |
UKX |
| PP6300000002 |
FTSE 100 Retirement Deposit Plan 4 Option 2 |
01/03/2016 |
01/03/2022 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
24.00% |
6,152.88 |
UKX |
| DG1630000000 |
Even 30 Deposit Growth Plan 46 |
01/03/2016 |
01/03/2021 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,092.24 |
Even30 |
| DP6300000000 |
FTSE 100 4 Year Deposit Plan 5 |
01/03/2016 |
02/03/2020 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
17.00% |
6,152.88 |
UKX |
| XS1331736170 |
FTSE 100 Defensive Growth Plan 1 - COL Fin Inst |
01/03/2016 |
01/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
28.00% |
6,152.88 |
UKX |
| XS1331737491 |
FTSE 100 Defensive Growth Plan 1 - Inv |
01/03/2016 |
01/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
36.00% |
6,152.88 |
UKX |
| XS1331736840 |
FTSE 100 Enhanced Kick-Out 58 COL Fin Inst |
01/03/2016 |
01/03/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
18.00% |
6,152.88 |
UKX |
| XS1331736923 |
FTSE 100 Enhanced Kick-Out 58 COL Gilt |
01/03/2016 |
01/03/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.00% |
6,152.88 |
UKX |
| XS1331735289 |
Dual Index Step Down Kick-Out Plan 8 - INV |
01/03/2016 |
01/03/2018 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
24.00% |
6,152.88 |
UKX |
| XS1331737145 |
Dual Index Step Down Kick-Out Plan 8 - COL Fin Inst |
01/03/2016 |
01/03/2018 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
20.00% |
6,152.88 |
UKX |
| XS1331735529 |
FTSE 100 Step Down Kick-Out Plan 1 |
01/03/2016 |
01/03/2018 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
17.00% |
6,152.88 |
UKX |
| GB00BYY35F24 |
FTSE 100 Enhanced Income 24 |
01/03/2016 |
01/03/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
31.68% |
6,152.88 |
UKX |
| PP6000000001 |
FTSE 100 Retirement Deposit Plan 1 Option 1 |
12/10/2015 |
12/10/2021 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
31.50% |
6,371.18 |
UKX |
| KD6400000000 |
FTSE 100 Kick-Out Deposit Plan 59 |
25/04/2016 |
25/04/2019 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.00% |
6,260.92 |
UKX |
| XS1355426013 |
FTSE 100 Step Down Kick-Out Plan 2 |
25/04/2016 |
25/04/2018 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
18.50% |
6,260.92 |
UKX |
| XS1355425981 |
FTSE 100 Defensive Kick-Out Plan 32 |
25/04/2016 |
25/04/2019 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
25.50% |
6,260.92 |
UKX |
| XS1355423002 |
FTSE 100 Enhanced Kick-Out 59 |
25/04/2016 |
25/04/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
11.50% |
6,260.92 |
UKX |
| DP6400000000 |
FTSE 100 4 Year Deposit Plan 6 |
25/04/2016 |
27/04/2020 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
16.00% |
6,260.92 |
UKX |
| XS1355423424 |
FTSE 100 Enhanced Kick-Out 59 COL Fin Inst |
25/04/2016 |
25/04/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
20.50% |
6,260.92 |
UKX |
| GB00BD5V7295 |
FTSE 100 Enhanced Income 25 |
25/04/2016 |
25/04/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
31.68% |
6,260.92 |
UKX |
| DD6400000000 |
FTSE 100 6 Year Defensive Deposit Plan 6 |
25/04/2016 |
25/04/2022 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
30.00% |
6,260.92 |
UKX |
| PP6400000001 |
FTSE 100 Retirement Deposit Plan 5 |
25/04/2016 |
25/04/2022 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
28.50% |
6,260.92 |
UKX |
| DG1640000000 |
Even 30 Deposit Growth Plan 47 |
25/04/2016 |
26/04/2021 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,069.45 |
Even30 |
| XS1355426286 |
FTSE 100 Defensive Growth Plan 2 - COL Fin Inst |
25/04/2016 |
25/04/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
31.00% |
6,260.92 |
UKX |
| XS1355426104 |
FTSE 100 Defensive Growth Plan 2 - Inv |
25/04/2016 |
25/04/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
36.00% |
6,260.92 |
UKX |
| XS1355423697 |
FTSE 100 Enhanced Kick-Out 59 COL Gilt |
25/04/2016 |
25/04/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
17.50% |
6,260.92 |
UKX |
| XS1355425635 |
Dual Index Step Down Kick-Out Plan 9 - INV |
25/04/2016 |
25/04/2018 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
24.50% |
6,260.92 |
UKX |
| XS1355425718 |
Dual Index Step Down Kick-Out Plan 9 - COL Fin Inst |
25/04/2016 |
25/04/2018 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
20.50% |
6,260.92 |
UKX |
| KD6500000000 |
FTSE 100 Kick-Out Deposit Plan 60 |
06/06/2016 |
06/06/2019 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.75% |
6,273.40 |
UKX |
| DP6500000000 |
FTSE 100 4 Year Deposit Plan 7 |
06/06/2016 |
08/06/2020 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
6,273.40 |
UKX |
| GB00BYYD7782 |
FTSE 100 Enhanced Income 26 |
06/06/2016 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
0.00% |
6,273.40 |
UKX |
| XS1389864890 |
FTSE 100 Step Down Kick-Out Plan 3 |
06/06/2016 |
06/06/2018 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
17.00% |
6,273.40 |
UKX |
| XS1389863736 |
FTSE 100 Defensive Kick-Out Plan 33 |
06/06/2016 |
06/06/2019 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
24.75% |
6,273.40 |
UKX |
| XS1389862761 |
FTSE 100 Enhanced Kick-Out 60 |
06/06/2016 |
06/06/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.50% |
6,273.40 |
UKX |
| DD6500000000 |
FTSE 100 6 Year Defensive Deposit Plan 7 |
06/06/2016 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
28.00% |
6,273.40 |
UKX |
| DG1650000000 |
Even 30 Deposit Growth Plan 48 |
06/06/2016 |
07/06/2021 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,127.56 |
Even30 |
| PP6500000001 |
FTSE 100 Retirement Deposit Plan 6 |
06/06/2016 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
27.00% |
6,273.40 |
UKX |
| XS1389863223 |
FTSE 100 Enhanced Kick-Out 60 COL Fin Inst |
06/06/2016 |
06/06/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
19.50% |
6,273.40 |
UKX |
| XS1389863819 |
FTSE 100 Enhanced Kick-Out 60 COL Gilt |
06/06/2016 |
06/06/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.00% |
6,273.40 |
UKX |
| XS1389864205 |
Dual Index Step Down Kick-Out Plan 10 - INV |
06/06/2016 |
06/06/2018 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
22.00% |
6,273.40 |
UKX |
| XS1389864387 |
Dual Index Step Down Kick-Out Plan 10 - COL Fin Inst |
06/06/2016 |
06/06/2018 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
19.50% |
6,273.40 |
UKX |
| XS1389871242 |
FTSE 100 Defensive Growth Plan 3 - Inv |
06/06/2016 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
35.00% |
6,273.40 |
UKX |
| XS1389869428 |
FTSE 100 Defensive Growth Plan 3 - COL Fin Inst |
06/06/2016 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
30.00% |
6,273.40 |
UKX |
| KD6600000000 |
FTSE 100 Kick-Out Deposit Plan 61 |
18/07/2016 |
18/07/2019 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
12.00% |
6,695.42 |
UKX |
| DP6600000000 |
FTSE 100 4 Year Deposit Plan 8 |
18/07/2016 |
20/07/2020 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
6,695.42 |
UKX |
| DG1660000000 |
Even 30 Deposit Growth Plan 49 |
18/07/2016 |
19/07/2021 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,143.71 |
Even30 |
| GB00BZBVN851 |
FTSE 100 Enhanced Income 27 |
18/07/2016 |
18/07/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
30.24% |
6,695.42 |
UKX |
| XS1409751259 |
FTSE 100 Defensive Kick-Out Plan 34 |
18/07/2016 |
18/07/2019 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
24.00% |
6,695.42 |
UKX |
| DD6600000000 |
FTSE 100 6 Year Defensive Deposit Plan 8 |
18/07/2016 |
18/07/2022 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
27.00% |
6,695.42 |
UKX |
| PP6600000001 |
FTSE 100 Retirement Deposit Plan 7 |
18/07/2016 |
18/07/2022 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
26.10% |
6,695.42 |
UKX |
| XS1409751093 |
FTSE 100 Enhanced Kick-Out 61 |
18/07/2016 |
18/07/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.25% |
6,695.42 |
UKX |
| XS1409751762 |
FTSE 100 Enhanced Kick-Out 61 COL Gilt |
18/07/2016 |
18/07/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.50% |
6,695.42 |
UKX |
| XS1409751176 |
FTSE 100 Enhanced Kick-Out 61 COL Fin Inst |
18/07/2016 |
18/07/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
19.00% |
6,695.42 |
UKX |
| XS1409752067 |
FTSE 100 Defensive Growth Plan 4 - Inv |
18/07/2016 |
18/07/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
34.75% |
6,695.42 |
UKX |
| XS1409752224 |
FTSE 100 Defensive Growth Plan 4 - COL Fin Inst |
18/07/2016 |
18/07/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
30.00% |
6,695.42 |
UKX |
| XS1409752653 |
FTSE 100 Step Down Kick-Out Plan 4 |
18/07/2016 |
18/07/2018 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
16.50% |
6,695.42 |
UKX |
| XS1409751846 |
Dual Index Step Down Kick-Out Plan 11 - COL Fin Inst |
18/07/2016 |
18/07/2018 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
20.00% |
6,695.42 |
UKX |
| GB00BWK1RR24 |
FTSE 100 Enhanced Income 28 |
26/08/2016 |
26/08/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
30.24% |
6,838.05 |
UKX |
| KD6700000000 |
FTSE 100 Kick-Out Deposit Plan 62 |
26/08/2016 |
27/08/2019 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
9.75% |
6,838.05 |
UKX |
| XS1437015065 |
FTSE 100 Step Down Kick-Out Plan 5 |
26/08/2016 |
28/08/2018 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
16.50% |
6,838.05 |
UKX |
| XS1437014928 |
FTSE 100 Defensive Kick-Out Plan 35 |
26/08/2016 |
27/08/2019 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
23.25% |
6,838.05 |
UKX |
| XS1437014761 |
FTSE 100 Enhanced Kick-Out 62 |
26/08/2016 |
29/08/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
6,838.05 |
UKX |
| XS1437014845 |
FTSE 100 Enhanced Kick-Out 62 COL Fin Inst |
26/08/2016 |
28/08/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
18.50% |
6,838.05 |
UKX |
| MT6700000000 |
FTSE 100 Mid-Term Kick-Out Deposit Plan 1 |
26/08/2016 |
27/08/2019 |
|
Matured |
|
29/10/2025 |
Mid-Term Kickout Deposit |
11.25% |
6,838.05 |
UKX |
| DG1670000000 |
Even 30 Deposit Growth Plan 50 |
26/08/2016 |
26/08/2021 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,178.90 |
Even30 |
| DD6700000000 |
FTSE 100 6 Year Defensive Deposit Plan 9 |
26/08/2016 |
26/08/2022 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
26.00% |
6,838.05 |
UKX |
| DP6700000000 |
FTSE 100 4 Year Deposit Plan 9 |
26/08/2016 |
26/08/2020 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
6,838.05 |
UKX |
| XS1437013441 |
FTSE 100 Enhanced Kick-Out 62 COL Gilt |
26/08/2016 |
28/08/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.50% |
6,838.05 |
UKX |
| PP6700000001 |
FTSE 100 Retirement Deposit Plan 8 |
26/08/2016 |
26/08/2022 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
24.00% |
6,838.05 |
UKX |
| XS1437025619 |
FTSE 100 Defensive Growth Plan 5 - Inv |
26/08/2016 |
26/08/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
35.00% |
6,838.05 |
UKX |
| XS1437025882 |
FTSE 100 Defensive Growth Plan 5 - COL Fin Inst |
26/08/2016 |
26/08/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
30.00% |
6,838.05 |
UKX |
| XS1437015149 |
FTSE 100 3 Year Defined Growth Plan 1 |
26/08/2016 |
27/08/2019 |
|
Matured |
|
29/10/2025 |
3 Year Defined Growth |
25.00% |
6,838.05 |
UKX |
| DD6800000000 |
FTSE 100 6 Year Defensive Deposit Plan 10 |
10/10/2016 |
10/10/2022 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
24.00% |
7,097.50 |
UKX |
| XS1471853835 |
FTSE 100 Defensive Kick-Out Plan 36 |
10/10/2016 |
10/10/2019 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
22.50% |
7,097.50 |
UKX |
| GB00BWK1RS31 |
FTSE 100 Enhanced Income 29 |
10/10/2016 |
10/10/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
29.52% |
7,097.50 |
UKX |
| XS1471852944 |
FTSE 100 Step Down Kick-Out Plan 6 |
10/10/2016 |
10/10/2018 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
16.00% |
7,097.50 |
UKX |
| DP6800000000 |
FTSE 100 4 Year Deposit Plan 10 |
10/10/2016 |
12/10/2020 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
7,097.50 |
UKX |
| MT6800000000 |
FTSE 100 Mid-Term Kick-Out Deposit Plan 2 |
10/10/2016 |
10/10/2019 |
|
Matured |
|
29/10/2025 |
Mid-Term Kickout Deposit |
10.00% |
7,097.50 |
UKX |
| KD6800000000 |
FTSE 100 Kick-Out Deposit Plan 63 |
10/10/2016 |
10/10/2019 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
8.25% |
7,097.50 |
UKX |
| DG1680000000 |
Even 30 Deposit Growth Plan 51 |
10/10/2016 |
11/10/2021 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,194.76 |
Even30 |
| XS1471853165 |
FTSE 100 Enhanced Kick-Out 63 |
10/10/2016 |
10/10/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.50% |
7,097.50 |
UKX |
| XS1471854056 |
FTSE 100 Defensive Growth Plan 6 - Inv |
10/10/2016 |
10/10/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
33.00% |
7,097.50 |
UKX |
| PP6800000000 |
FTSE 100 Retirement Deposit Plan 9 |
10/10/2016 |
10/10/2022 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
22.50% |
7,097.50 |
UKX |
| XS1471853918 |
FTSE 100 Enhanced Kick-Out 63 COL Gilt |
10/10/2016 |
10/10/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.00% |
7,097.50 |
UKX |
| XS1471853249 |
FTSE 100 Enhanced Kick-Out 63 COL Fin Inst |
10/10/2016 |
10/10/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
17.70% |
7,097.50 |
UKX |
| XS1471853595 |
FTSE 100 3 Year Defined Growth Plan 2 |
10/10/2016 |
10/10/2019 |
|
Matured |
|
29/10/2025 |
3 Year Defined Growth |
24.00% |
7,097.50 |
UKX |
| XS1471854130 |
FTSE 100 Defensive Growth Plan 6 - COL |
10/10/2016 |
10/10/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
25.50% |
7,097.50 |
UKX |
| DG1690000000 |
Even 30 Deposit Growth Plan 52 |
21/11/2016 |
22/11/2021 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
6.30% |
2,038.47 |
Even30 |
| XS1493422908 |
FTSE 100 Step Down Kick-Out Plan 7 |
21/11/2016 |
21/11/2018 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
16.50% |
6,777.96 |
UKX |
| PP6900000000 |
FTSE 100 Retirement Deposit Plan 10 |
21/11/2016 |
21/11/2022 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
22.50% |
6,777.96 |
UKX |
| MT6900000000 |
FTSE 100 Mid-Term Kick-Out Deposit Plan 3 |
21/11/2016 |
21/11/2019 |
|
Matured |
|
29/10/2025 |
Mid-Term Kickout Deposit |
10.00% |
6,777.96 |
UKX |
| KD6900000000 |
FTSE 100 Kick-Out Deposit Plan 64 |
21/11/2016 |
21/11/2019 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
9.00% |
6,777.96 |
UKX |
| DP6900000000 |
FTSE 100 4 Year Deposit Plan 11 |
21/11/2016 |
23/11/2020 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
6,777.96 |
UKX |
| XS1493423039 |
FTSE 100 Enhanced Kick-Out 64 |
21/11/2016 |
21/11/2017 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
6,777.96 |
UKX |
| XS1493422817 |
FTSE 100 Enhanced Kick-Out 64 COL Gilt |
21/11/2016 |
21/11/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.50% |
6,777.96 |
UKX |
| XS1493423112 |
FTSE 100 Enhanced Kick-Out 64 COL Fin Inst |
21/11/2016 |
21/11/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
17.50% |
6,777.96 |
UKX |
| GB00BWK1RV69 |
FTSE 100 Enhanced Income 30 |
21/11/2016 |
21/11/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
30.24% |
6,777.96 |
UKX |
| DD6900000000 |
FTSE 100 6 Year Defensive Deposit Plan 11 |
21/11/2016 |
21/11/2022 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
24.00% |
6,777.96 |
UKX |
| GB00BWK1RW76 |
FTSE 100 Defined Income Plan 1 |
21/11/2016 |
21/11/2022 |
|
Matured |
|
29/10/2025 |
Defined Income |
36.00% |
6,777.96 |
UKX |
| XS1493423468 |
FTSE 100 Defensive Growth Plan 7 |
21/11/2016 |
21/11/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
34.00% |
6,777.96 |
UKX |
| XS1493422650 |
FTSE 100 Defensive Kick-Out Plan 37 |
21/11/2016 |
21/11/2019 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
24.00% |
6,777.96 |
UKX |
| GB00BWK1RX83 |
FTSE 100 Kick-Out Income Plan 1 |
21/11/2016 |
21/02/2019 |
|
Matured |
|
29/10/2025 |
Kickout Income |
14.00% |
6,777.96 |
UKX |
| XS1502426494 |
FTSE 100 Step Down Kick-Out Plan 7 - COL |
05/12/2016 |
05/12/2018 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
14.80% |
6,746.83 |
UKX |
| DG1700000000 |
EVEN 30 Deposit Growth Plan 53 |
03/01/2017 |
04/01/2022 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
4.65% |
2,115.50 |
Even30 |
| DP7000000000 |
FTSE 100 4 Year Deposit Plan 12 |
03/01/2017 |
04/01/2021 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
7,177.89 |
UKX |
| DD7000000000 |
FTSE 100 6 Year Defensive Deposit Plan 12 |
03/01/2017 |
03/01/2023 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
24.00% |
7,177.89 |
UKX |
| XS1513737475 |
FTSE 100 Defensive Growth Plan 8 |
03/01/2017 |
03/01/2023 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
34.00% |
7,177.89 |
UKX |
| XS1513738796 |
FTSE 100 Defensive Kick-Out Plan 38 |
03/01/2017 |
03/01/2020 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
23.25% |
7,177.89 |
UKX |
| GB00BWK1RZ08 |
FTSE 100 Defined Income Plan 2 |
03/01/2017 |
03/01/2023 |
|
Matured |
|
29/10/2025 |
Defined Income |
36.00% |
7,177.89 |
UKX |
| GB00BWK1RY90 |
FTSE 100 Enhanced Income Plan 31 |
03/01/2017 |
03/01/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
30.24% |
7,177.89 |
UKX |
| XS1513738523 |
FTSE 100 Enhanced Kick-Out Plan 65 - Fin Inst Option |
03/01/2017 |
03/01/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
27.60% |
7,177.89 |
UKX |
| XS1513738952 |
FTSE 100 Enhanced Kick-Out Plan 65 - Gilt Option |
03/01/2017 |
03/01/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
24.30% |
7,177.89 |
UKX |
| XS1513738101 |
FTSE 100 Enhanced Kick-Out Plan 65 - Investec Option |
03/01/2017 |
03/01/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
7,177.89 |
UKX |
| KD7000000000 |
FTSE 100 Kick-Out Deposit Plan 65 |
03/01/2017 |
03/01/2020 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
9.00% |
7,177.89 |
UKX |
| GB00BWK1S029 |
FTSE 100 Kick-Out Income Plan 2 |
03/01/2017 |
03/01/2020 |
|
Matured |
|
29/10/2025 |
Kickout Income |
21.00% |
7,177.89 |
UKX |
| PP7000000000 |
FTSE 100 Retirement Deposit Plan 11 |
03/01/2017 |
03/01/2023 |
|
Matured |
|
29/10/2025 |
Retirement Deposit |
22.50% |
7,177.89 |
UKX |
| XS1515222898 |
FTSE 100 Step Down Kick-Out PLan 8 - Fin Inst Option |
03/01/2017 |
03/01/2020 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
22.20% |
7,177.89 |
UKX |
| XS1513739091 |
FTSE 100 Step Down Kick-Out Plan 8 - Investec Option |
03/01/2017 |
03/01/2020 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
24.75% |
7,177.89 |
UKX |
| XS1535059692 |
Dual index Step down Kick-Out Plan 12 - Investec option |
27/02/2017 |
27/02/2020 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
27.75% |
2,369.75 / 7,253.00 |
SPX / UKX |
| XS1535065582 |
Dual index Step down Kick-Out Plan 12 - UK 5 option |
27/02/2017 |
27/02/2020 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
22.50% |
2,369.75 / 7,253.00 |
SPX / UKX |
| DG1710000000 |
EVEN 30 Deposit Growth Plan 54 |
27/02/2017 |
28/02/2022 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
2.30% |
2,179.90 |
Even30 |
| XS1535061169 |
FTSE 100 Defensive Growth Plan 9 |
27/02/2017 |
27/02/2023 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
34.00% |
7,253.00 |
UKX |
| XS1535060351 |
FTSE 100 Defensive Kick-Out Plan 39 |
27/02/2017 |
27/02/2020 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
23.25% |
7,253.00 |
UKX |
| DP7100000000 |
FTSE 100 4 Year Deposit Plan 13 |
27/02/2017 |
26/02/2021 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
7,253.00 |
UKX |
| DD7100000000 |
FTSE 100 6 Year Defensive Deposit Plan 13 |
27/02/2017 |
27/02/2023 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
24.00% |
7,253.00 |
UKX |
| XS1535059775 |
FTSE 100 Step Down Kick-Out Plan 9 - UK5 Option |
27/02/2017 |
27/02/2020 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
22.80% |
7,253.00 |
UKX |
| GB00BZ04MJ95 |
FTSE 100 Defined Income Plan 3 |
27/02/2017 |
27/02/2023 |
|
Matured |
|
29/10/2025 |
Defined Income |
36.00% |
7,253.00 |
UKX |
| GB00BZ04ML18 |
FTSE 100 Enhanced Income Plan 32 |
27/02/2017 |
27/02/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
30.24% |
7,253.00 |
UKX |
| XS1535060435 |
FTSE 100 Enhanced Kick-Out Plan 66 - Gilt Option |
27/02/2017 |
28/02/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
41.25% |
7,253.00 |
UKX |
| XS1535059932 |
FTSE 100 Enhanced Kick-Out Plan 66 - Investec Option |
27/02/2017 |
27/02/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
7,253.00 |
UKX |
| XS1535060195 |
FTSE 100 Enhanced Kick-Out Plan 66 - UK5 Option |
27/02/2017 |
28/02/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
48.00% |
7,253.00 |
UKX |
| KD7100000000 |
FTSE 100 Kick-Out Deposit Plan 66 |
27/02/2017 |
28/02/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.00% |
7,253.00 |
UKX |
| GB00BZ04MK01 |
FTSE 100 Kick-Out Income Plan 3 |
27/02/2017 |
27/02/2023 |
|
Matured |
|
29/10/2025 |
Kickout Income |
42.00% |
7,253.00 |
UKX |
| XS1535060609 |
FTSE 100 Step Down Kick-Out Plan 9 - Investec Option |
27/02/2017 |
27/02/2020 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
24.75% |
7,253.00 |
UKX |
| XS1560891258 |
Dual Index Step Down Kick-Out�Plan 13 - UK 5 Option |
24/04/2017 |
24/04/2019 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
16.50% |
7,264.68 |
UKX |
| XS1560890870 |
Dual index Step down Kick-Out Plan 13 - Investec option |
24/04/2017 |
24/04/2019 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
18.50% |
7,264.68 |
UKX |
| DG1720000000 |
EVEN 30 Deposit Growth Plan 55 |
24/04/2017 |
25/04/2022 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.47% |
2,222.38 |
Even30 |
| XS1560887066 |
FTSE 100 Step Down Kick-Out Plan 10 - UK5 Option |
24/04/2017 |
24/04/2019 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
15.00% |
7,264.68 |
UKX |
| DP7200000000 |
FTSE 100 4 Year Deposit Plan 14 |
24/04/2017 |
26/04/2021 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
7,264.68 |
UKX |
| XS1560891928 |
FTSE 100 Defensive Growth Plan 10 |
24/04/2017 |
24/04/2023 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
34.00% |
7,264.68 |
UKX |
| DD7200000000 |
FTSE 100 6 Year Defensive Deposit Plan 14 |
24/04/2017 |
24/04/2023 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
25.00% |
7,264.68 |
UKX |
| XS1560886258 |
FTSE 100 Defensive Kick-Out Plan 40 |
24/04/2017 |
26/04/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
31.00% |
7,264.68 |
UKX |
| GB00BZ04MP55 |
FTSE 100 Defined Income Plan 4 |
24/04/2017 |
24/04/2023 |
|
Matured |
|
29/10/2025 |
Defined Income |
36.00% |
7,264.68 |
UKX |
| GB00BZ04MM25 |
FTSE 100 Enhanced Income Plan 33 - Investec Option |
24/04/2017 |
25/04/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
25.20% |
7,264.68 |
UKX |
| GB00BZ04MN32 |
FTSE 100 Enhanced Income Plan 33 - UK5 Option |
24/04/2017 |
24/04/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
25.92% |
7,264.68 |
UKX |
| XS1560886506 |
FTSE 100 Enhanced Kick-Out Plan 67 - Gilt Option |
24/04/2017 |
24/04/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
16.50% |
7,264.68 |
UKX |
| XS1560885797 |
FTSE 100 Enhanced Kick-Out Plan 67 - Investec Option |
24/04/2017 |
24/04/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.65% |
7,264.68 |
UKX |
| XS1560886092 |
FTSE 100 Enhanced Kick-Out Plan 67 - UK5 Option |
24/04/2017 |
24/04/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
19.00% |
7,264.68 |
UKX |
| KD7200000000 |
FTSE 100 Kick-Out Deposit Plan 67 |
24/04/2017 |
25/04/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.00% |
7,264.68 |
UKX |
| GB00BZ04MQ62 |
FTSE 100 Kick-Out Income Plan 4 |
24/04/2017 |
24/01/2023 |
|
Matured |
|
29/10/2025 |
Kickout Income |
42.55% |
7,264.68 |
UKX |
| XS1560886761 |
FTSE 100 Step Down Kick-Out Plan 10 - Investec Option |
24/04/2017 |
24/04/2019 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
16.50% |
7,264.68 |
UKX |
| XS1575689903 |
FTSE 100 Defensive Step Down Kick Out Plan 1 |
24/04/2017 |
24/04/2019 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
14.00% |
7,264.68 |
UKX |
| XS1575684185 |
Dual Index Defensive Step Down Kick Out Plan 1 |
24/04/2017 |
26/04/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
17.00% |
3,577.38 / 7,264.68 |
SX5E / UKX |
| XS1578091644 |
Triple Index Defensive Step Down Kickout Plan (March) - INV |
31/03/2017 |
31/03/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
33.00% |
2,362.72 / 3,500.93 / 7,322.92 |
SPX / SX5E / UKX |
| XS1578091727 |
Triple Index Defensive Step Down Kickout Plan (March) - UK5 |
31/03/2017 |
31/03/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
29.60% |
2,362.72 / 3,500.93 / 7,322.92 |
SPX / SX5E / UKX |
| XS1578091990 |
Triple Index Defensive Step Down Kickout Plan (April) - INV |
13/04/2017 |
15/04/2019 |
|
Matured |
|
29/10/2025 |
Bespoke |
14.00% |
7,327.59 |
UKX |
| XS1575046229 |
Dual Index Multi Counterparty Plan April 2017 |
10/04/2017 |
11/04/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
47.40% |
2,357.16 / 7,348.94 |
SPX / UKX |
| GB00BZ04MT93 |
FTSE 100 Enhanced Income Plan 34 - Investec option |
05/06/2017 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
0.00% |
7,525.76 |
UKX |
| GB00BZ04MV16 |
FTSE 100 Enhanced Income Plan 34 - UK 5 option |
05/06/2017 |
05/06/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
24.48% |
7,525.76 |
UKX |
| XS1598697842 |
FTSE 100 Enhanced Kick-Out Plan 68 - Investec Option |
05/06/2017 |
05/06/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.25% |
7,525.76 |
UKX |
| XS1598697925 |
FTSE 100 Enhanced Kick-Out Plan 68 - UK 5 Option |
05/06/2017 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
41.25% |
7,525.76 |
UKX |
| XS1598698063 |
FTSE 100 Defensive Kick-Out Plan 41 |
05/06/2017 |
07/06/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
29.00% |
7,525.76 |
UKX |
| XS1598698576 |
FTSE 100 Enhanced Kick-Out Plan 68 - Gilt Option |
05/06/2017 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
35.00% |
7,525.76 |
UKX |
| XS1598698659 |
Dual Index Step Down Kick-Out� Plan 14 - Investec option |
05/06/2017 |
07/06/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
35.00% |
2,436.10 / 7,525.76 |
SPX / UKX |
| XS1598699202 |
Dual Index Step Down Kick-Out� Plan 14 - UK 5 Option |
05/06/2017 |
07/06/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
28.60% |
2,436.10 / 7,525.76 |
SPX / UKX |
| XS1598699384 |
FTSE 100 Step Down Kick-Out� Plan 11 - Investec option |
05/06/2017 |
07/06/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
31.00% |
7,525.76 |
UKX |
| XS1598697339 |
FTSE 100 Defensive Growth Plan 11 |
05/06/2017 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
Defensive Growth |
22.00% |
7,525.76 |
UKX |
| XS1598699541 |
FTSE 100 Step Down Kick-Out Plan 11 - UK 5 option |
05/06/2017 |
07/06/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
26.00% |
7,525.76 |
UKX |
| XS1598699467 |
Dual Index Defensive Step Down Kick-Out Plan 2 |
05/06/2017 |
07/06/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
32.00% |
3,579.55 / 7,525.76 |
SX5E / UKX |
| XS1598699624 |
FTSE 100 Defensive Step Down Kick-Out Plan 2 |
05/06/2017 |
07/06/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
26.00% |
7,525.76 |
UKX |
| DG1730000000 |
EVEN 30 Deposit Growth Plan 56 |
05/06/2017 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,327.22 |
Even30 |
| KD7300000000 |
FTSE 100 Kick-Out Deposit Plan 68 |
05/06/2017 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.00% |
7,525.76 |
UKX |
| DP7300000000 |
FTSE 100 4 Year Deposit Plan 15 |
05/06/2017 |
07/06/2021 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
7,525.76 |
UKX |
| DD7300000000 |
FTSE 100 5 Year Defensive Deposit Plan 1 |
05/06/2017 |
06/06/2022 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
18.00% |
7,525.76 |
UKX |
| XS1598834262 |
Triple Index defensive (60) Step Down Kick-Out Plan (May) - UK5 |
19/05/2017 |
19/05/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
29.00% |
2,381.73 / 3,587.01 / 7,470.71 |
SPX / SX5E / UKX |
| XS1598834346 |
Triple Index defensive (60) Step Down Kick-Out Plan (May) - Investec |
19/05/2017 |
19/05/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
36.00% |
2,381.73 / 3,587.01 / 7,470.71 |
SPX / SX5E / UKX |
| XS1616810328 |
Dual Index Multi Counterparty Plan June 2017 |
30/06/2017 |
02/01/2024 |
|
Matured |
|
29/10/2025 |
Bespoke |
51.35% |
2,423.41 / 7,312.72 |
SPX / UKX |
| DK7400000000 |
Dual Index Kick-Out Deposit Plan 1 |
17/07/2017 |
17/07/2023 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout Deposit |
0.00% |
3,516.35 / 7,404.13 |
SX5E / UKX |
| XS1616551047 |
Dual Index Step Down Kick-Out Plan 15 - Investec Option |
17/07/2017 |
17/07/2019 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
16.50% |
2,459.14 / 7,404.13 |
SPX / UKX |
| XS1616551476 |
Dual Index Step Down Kick-Out Plan 15 - UK5 Option |
17/07/2017 |
17/07/2019 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
13.30% |
2,459.14 / 7,404.13 |
SPX / UKX |
| DG1740000000 |
EVEN 30 Deposit Growth Plan 57 |
17/07/2017 |
18/07/2022 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,222.63 |
Even30 |
| DP7400000000 |
FTSE 100 4 Year Deposit Plan 16 |
17/07/2017 |
19/07/2021 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
7,404.13 |
UKX |
| DD7400000000 |
FTSE 100 5 Year Defensive Deposit Plan 2 |
17/07/2017 |
18/07/2022 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
16.00% |
7,404.13 |
UKX |
| XS1616548845 |
FTSE 100 Defensive Kick-Out Plan 42 |
17/07/2017 |
19/07/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
29.00% |
7,404.13 |
UKX |
| XS1616550585 |
FTSE 100 Enhanced Kick-Out Plan 69 - Gilt Option |
17/07/2017 |
17/07/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
14.00% |
7,404.13 |
UKX |
| XS1616548688 |
FTSE 100 Enhanced Kick-Out Plan 69 - UK 5 Option |
17/07/2017 |
17/07/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.20% |
7,404.13 |
UKX |
| XS1616558133 |
FTSE 100 Enhanced Kick-Out Plan 69 - Investec Option |
17/07/2017 |
17/07/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
7,404.13 |
UKX |
| KD7400000000 |
FTSE 100 Kick-Out Deposit Plan 69 |
17/07/2017 |
17/07/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
0.00% |
7,404.13 |
UKX |
| XS1616554496 |
FTSE 100 Step Down Kick-Out� Plan 12 - Investec Option |
17/07/2017 |
17/07/2019 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
15.50% |
7,404.13 |
UKX |
| XS1616555543 |
FTSE 100 Step Down Kick-Out Plan 12 - UK 5 option |
17/07/2017 |
17/07/2019 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
12.30% |
7,404.13 |
UKX |
| XS1619826016 |
Triple Index defensive (60) Step Down Kick-Out Plan (June) - Investec |
23/06/2017 |
23/06/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
33.60% |
2,438.30 / 3,543.68 / 7,424.13 |
SPX / SX5E / UKX |
| XS1619826107 |
Triple Index defensive (60) Step Down Kick-Out Plan (June) - UK5 |
23/06/2017 |
23/06/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
27.60% |
2,438.30 / 3,543.68 / 7,424.13 |
SPX / SX5E / UKX |
| XS1616557085 |
Dual Index Defensive Step Down Kick-Out Plan 3 |
17/07/2017 |
19/07/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
31.00% |
3,516.35 / 7,404.13 |
SX5E / UKX |
| GB00BZ04MZ53 |
FTSE 100 Enhanced Income Plan 35 |
17/07/2017 |
17/07/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
22.80% |
7,404.13 |
UKX |
| XS1616557911 |
FTSE 100 Defensive Step Down Kick-Out Plan 3 |
17/07/2017 |
17/07/2019 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
13.00% |
7,404.13 |
UKX |
| GB00BZ04MX30 |
Dual Index Defensive Income Plan 1 Op 1 |
17/07/2017 |
17/01/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
33.00% |
3,516.35 / 7,404.13 |
SX5E / UKX |
| GB00BZ04MY47 |
Dual Index Defensive Income Plan 1 Op 2 |
17/07/2017 |
17/01/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
42.00% |
3,516.35 / 7,404.13 |
SX5E / UKX |
| XS1638023256 |
Dual Index Defensive Step Down Kick-Out Plan 4 |
21/08/2017 |
23/08/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
32.00% |
3,423.53 / 7,318.88 |
SX5E / UKX |
| DK7500000000 |
Dual Index Kick-Out Deposit Plan 2 |
21/08/2017 |
22/08/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout Deposit |
20.00% |
3,423.53 / 7,318.88 |
SX5E / UKX |
| XS1638020153 |
Dual Index Step Down Kick-Out Plan 16 - Investec Option |
21/08/2017 |
23/08/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
34.00% |
2,428.37 / 7,318.88 |
SPX / UKX |
| XS1638022449 |
Dual Index Step Down Kick-Out Plan 16 - UK5 Option |
21/08/2017 |
23/08/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
26.60% |
2,428.37 / 7,318.88 |
SPX / UKX |
| DG1750000000 |
EVEN 30 Deposit Growth Plan 58 |
21/08/2017 |
22/08/2022 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,219.75 |
Even30 |
| DP7500000000 |
FTSE 100 4 Year Deposit Plan 17 |
21/08/2017 |
23/08/2021 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
7,318.88 |
UKX |
| DD7500000000 |
FTSE 100 5 Year Defensive Deposit Plan 3 |
21/08/2017 |
22/08/2022 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
16.50% |
7,318.88 |
UKX |
| XS1638019221 |
FTSE 100 Defensive Kick-Out Plan 43 |
21/08/2017 |
23/08/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
28.80% |
7,318.88 |
UKX |
| GB00BZ04N307 |
FTSE 100 Enhanced Income Plan 36 |
21/08/2017 |
22/08/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.75% |
7,318.88 |
UKX |
| XS1638012051 |
FTSE 100 Enhanced Kick-Out Plan 70 - Investec Option |
21/08/2017 |
21/08/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
7,318.88 |
UKX |
| XS1638016045 |
FTSE 100 Enhanced Kick-Out Plan 70 - UK 5 Option |
21/08/2017 |
22/08/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
37.50% |
7,318.88 |
UKX |
| KD7500000000 |
FTSE 100 Kick-Out Deposit Plan 70 |
21/08/2017 |
22/08/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.00% |
7,318.88 |
UKX |
| XS1638022951 |
FTSE 100 Step Down Kick-Out� Plan 13 - Investec Option |
21/08/2017 |
23/08/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
30.00% |
7,318.88 |
UKX |
| XS1638023769 |
FTSE 100 Step Down Kick-Out Plan 13 - UK 5 option |
21/08/2017 |
23/08/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
25.00% |
7,318.88 |
UKX |
| XS1638023504 |
FTSE 100 Defensive Step Down Kick-Out Plan 4 |
21/08/2017 |
23/08/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
26.00% |
7,318.88 |
UKX |
| XS1639368791 |
FTSE/STOXX/S&P Defensive Kick Out Plan (July) Christian Douglas |
20/07/2017 |
22/07/2019 |
|
Matured |
|
29/10/2025 |
Bespoke |
18.40% |
7,487.87 |
UKX |
| XS1631434377 |
3 Stock Autocall Bespoke |
07/08/2017 |
07/08/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
-67.65% |
210.00 / 1,544.19 / 226.60 |
BARC LN / GSK LN / VOD LN |
| GB00BZ04N414 |
FTSE 100 Defensive Income Plan 1 - Option 1 |
29/08/2017 |
29/08/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
42.00% |
7,337.43 |
UKX |
| GB00BZ04N521 |
FTSE 100 Defensive Income Plan 1 - Option 2 |
29/08/2017 |
29/08/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
56.00% |
7,337.43 |
UKX |
| XS1636452382 |
Triple Index (60) Def Step Down KO (August) - DWIFA - Investec Option |
11/08/2017 |
13/08/2018 |
|
Matured |
|
29/10/2025 |
Bespoke |
8.25% |
7,309.96 |
UKX |
| XS1636452036 |
Triple Index (60) Def Step Down KO (August) - DWIFA - UK5 Option |
11/08/2017 |
13/08/2018 |
|
Matured |
|
29/10/2025 |
Bespoke |
6.90% |
7,309.96 |
UKX |
| XS1667178849 |
Dual Index Multi Counterparty Plan September 2017 |
01/09/2017 |
01/03/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
41.80% |
2,476.55 / 7,438.50 |
SPX / UKX |
| XS1651320845 |
Anomaly Triple Index Step Down Kickout |
31/07/2017 |
31/07/2019 |
|
Matured |
|
29/10/2025 |
Bespoke |
22.20% |
7,372.00 |
UKX |
| GB00BZ04N745 |
Winser Dual Index Income Plan September 2017 |
15/09/2017 |
15/06/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
50.60% |
3,515.55 / 7,215.47 |
SX5E / UKX |
| XS1661728029 |
FTSE 100 Step Down Kick-Out Plan 14 - UK 5 option |
02/10/2017 |
04/10/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
23.00% |
7,438.84 |
UKX |
| XS1661728292 |
FTSE 100 Step Down Kick-Out� Plan 14 - Investec Option |
02/10/2017 |
04/10/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
28.00% |
7,438.84 |
UKX |
| XS1661728375 |
Dual Index Step Down Kick-Out Plan 17 - UK5 Option |
02/10/2017 |
04/10/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
24.80% |
2,529.12 / 7,438.84 |
SPX / UKX |
| XS1661728458 |
Dual Index Step Down Kick-Out Plan 17 - Investec Option |
02/10/2017 |
04/10/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
32.00% |
2,529.12 / 7,438.84 |
SPX / UKX |
| XS1661728532 |
FTSE 100 Defensive Kick-Out Plan 44 |
02/10/2017 |
04/10/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
28.00% |
7,438.84 |
UKX |
| XS1661728615 |
FTSE 100 Defensive Step Down Kick-Out Plan 5 |
02/10/2017 |
04/10/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
25.00% |
7,438.84 |
UKX |
| XS1661728706 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 5 |
02/10/2017 |
04/10/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
31.00% |
3,602.69 / 7,438.84 |
SX5E / UKX |
| XS1661728888 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 1 |
02/10/2017 |
04/10/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
28.00% |
2,529.12 / 7,438.84 |
SPX / UKX |
| XS1661729001 |
FTSE 100 Enhanced Kick-Out Plan 71 - Investec Option |
02/10/2017 |
02/10/2018 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.65% |
7,438.84 |
UKX |
| XS1661728961 |
FTSE 100 Enhanced Kick-Out Plan 71 - UK 5 Option |
02/10/2017 |
02/10/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
42.00% |
7,438.84 |
UKX |
| DP7600000000 |
FTSE 100 4 Year Deposit Plan 18 |
02/10/2017 |
04/10/2021 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
7,438.84 |
UKX |
| DD7600000000 |
FTSE 100 5 Year Defensive Deposit Plan 4 |
02/10/2017 |
03/10/2022 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
18.50% |
7,438.84 |
UKX |
| KD7610000000 |
FTSE 100 Kick-Out Deposit Plan 71 - Option 1 |
02/10/2017 |
02/10/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
24.00% |
7,438.84 |
UKX |
| KD7620000000 |
FTSE 100 Kick-Out Deposit Plan 71 - Option 2 |
02/10/2017 |
02/10/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
27.00% |
7,438.84 |
UKX |
| DK7600000000 |
Dual Index Kick-Out Deposit Plan 3 |
02/10/2017 |
02/10/2023 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout Deposit |
33.00% |
3,602.69 / 7,438.84 |
SX5E / UKX |
| DG1760000000 |
EVEN 30 Deposit Growth Plan 59 |
02/10/2017 |
03/10/2022 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,194.68 |
Even30 |
| GB00BZ04N851 |
FTSE 100 Enhanced Income Plan 37 |
02/10/2017 |
03/10/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.75% |
7,438.84 |
UKX |
| GB00BF8S3895 |
FTSE 100 Defensive Income Plan 2 - Option 1 |
02/10/2017 |
02/10/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
42.00% |
7,438.84 |
UKX |
| GB00BF8S3903 |
FTSE 100 Defensive Income Plan 2 - Option 2 |
02/10/2017 |
02/10/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
52.00% |
7,438.84 |
UKX |
| XS1667383696 |
DWIFA Triple Index Defensive (60) Step Down Kick-Out Plan (September 2017) |
29/09/2017 |
29/09/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
32.00% |
2,519.36 / 3,594.85 / 7,372.76 |
SPX / SX5E / UKX |
| DP7700000000 |
FTSE 100 4 Year Deposit Plan 19 |
13/11/2017 |
15/11/2021 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
7,415.18 |
UKX |
| DD7700000000 |
FTSE 100 5 Year Defensive Deposit Plan 5 |
13/11/2017 |
14/11/2022 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
18.00% |
7,415.18 |
UKX |
| KD7710000000 |
FTSE 100 Kick-Out Deposit Plan 72 - Option 1 |
13/11/2017 |
13/11/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
0.00% |
7,415.18 |
UKX |
| XS1686884310 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 6 |
13/11/2017 |
15/11/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
31.00% |
3,574.52 / 7,415.18 |
SX5E / UKX |
| XS1686884401 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 2 |
13/11/2017 |
15/11/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
28.69% |
2,584.84 / 7,415.18 |
SPX / UKX |
| DK7700000000 |
Dual Index Kick-Out Deposit Plan 4 |
13/11/2017 |
13/11/2024 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout Deposit |
38.50% |
3,574.52 / 7,415.18 |
SX5E / UKX |
| GB00BF8S3D47 |
FTSE 100 Defensive Income Plan 3 - Option 1 |
13/11/2017 |
13/11/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
40.25% |
7,415.18 |
UKX |
| GB00BF8S3F60 |
FTSE 100 Defensive Income Plan 3 - Option 2 |
13/11/2017 |
13/11/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
51.30% |
7,415.18 |
UKX |
| DG1770000000 |
EVEN 30 Deposit Growth Plan 60 |
13/11/2017 |
14/11/2022 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,175.97 |
Even30 |
| XS1686884237 |
FTSE 100 Defensive Step Down Kick-Out Plan 6 |
13/11/2017 |
15/11/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
24.60% |
7,415.18 |
UKX |
| XS1686884153 |
FTSE 100 Defensive Kick-Out Plan 45 |
13/11/2017 |
15/11/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
28.00% |
7,415.18 |
UKX |
| GB00BZ04N968 |
FTSE 100 Enhanced Income Plan 38 |
13/11/2017 |
14/11/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.75% |
7,415.18 |
UKX |
| XS1686884583 |
FTSE 100 Enhanced Kick-Out Plan 72 - Investec Option |
13/11/2017 |
13/11/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
0.00% |
7,415.18 |
UKX |
| KD7720000000 |
FTSE 100 Kick-Out Deposit Plan 72 - Option 2 |
13/11/2017 |
13/11/2024 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
31.50% |
7,415.18 |
UKX |
| XS1686884666 |
FTSE 100 Enhanced Kick-Out Plan 72 - UK 5 Option |
13/11/2017 |
13/11/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
0.00% |
7,415.18 |
UKX |
| XS1686884070 |
FTSE 100 Step Down Kick-Out� Plan 15 - Investec Option |
13/11/2017 |
15/11/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
28.00% |
7,415.18 |
UKX |
| XS1686883932 |
FTSE 100 Step Down Kick-Out Plan 15 - UK 5 option |
13/11/2017 |
15/11/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
22.40% |
7,415.18 |
UKX |
| GB00BF8S3G77 |
Winser Dual Index Income Plan November 2017 |
27/11/2017 |
27/02/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
49.35% |
3,564.02 / 7,383.90 |
SX5E / UKX |
| GB00BF8S3B23 |
Triple Index Defensive Income Plan (October) |
16/10/2017 |
16/04/2024 |
|
Matured |
|
29/10/2025 |
Bespoke |
45.50% |
2,557.64 / 3,606.27 / 7,526.97 |
SPX / SX5E / UKX |
| XS1694788644 |
Triple Index Defensive (60) Step Down Kick-Out Plan (November) |
17/11/2017 |
17/11/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
32.00% |
2,578.85 / 3,547.46 / 7,380.68 |
SPX / SX5E / UKX |
| GB00BF8S3H84 |
Dual Index Income Plan November 2017 |
13/11/2017 |
13/02/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
39.90% |
2,584.84 / 7,415.18 |
SPX / UKX |
| DP7800000000 |
FTSE 100 4 Year Deposit Plan 20 |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
4 Year Deposit |
0.00% |
7,622.88 |
UKX |
| DD7800000000 |
FTSE 100 5 Year Defensive Deposit Plan 6 |
28/12/2017 |
28/12/2022 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
18.00% |
7,622.88 |
UKX |
| KD7810000000 |
FTSE 100 Kick-Out Deposit Plan 73 - Option 1 |
28/12/2017 |
28/12/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
24.00% |
7,622.88 |
UKX |
| KD7820000000 |
FTSE 100 Kick-Out Deposit Plan 73 - Option 2 |
28/12/2017 |
28/12/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
27.00% |
7,622.88 |
UKX |
| DK7800000000 |
Dual Index Kick-Out Deposit Plan 5 |
28/12/2017 |
28/12/2023 |
|
Matured |
|
29/10/2025 |
Dual Index Kickout Deposit |
36.00% |
3,524.31 / 7,622.88 |
SX5E / UKX |
| GB00BF8S3J09 |
FTSE 100 Enhanced Income Plan 39 |
28/12/2017 |
28/12/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
0.00% |
7,622.88 |
UKX |
| XS1706565808 |
FTSE 100 Step Down Kick-Out� Plan 16 - Investec Option |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
28.00% |
7,622.88 |
UKX |
| XS1706565980 |
FTSE 100 Defensive Kick-Out Plan 46 |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
27.40% |
7,622.88 |
UKX |
| XS1706566442 |
FTSE 100 Defensive Step Down Kick-Out Plan 7 |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
24.00% |
7,622.88 |
UKX |
| XS1706566871 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 7 |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
31.00% |
3,524.31 / 7,622.88 |
SX5E / UKX |
| XS1706566798 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 3 |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
27.20% |
2,687.54 / 7,622.88 |
SPX / UKX |
| XS1706566012 |
FTSE 100 Enhanced Kick-Out Plan 73 - Investec Option |
28/12/2017 |
28/12/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
56.10% |
7,622.88 |
UKX |
| GB00BF8S3K14 |
FTSE 100 Defensive Income Plan 4 - Option 1 |
28/12/2017 |
30/12/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
38.50% |
7,622.88 |
UKX |
| GB00BF8S3L21 |
FTSE 100 Defensive Income Plan 4 - Option 2 |
28/12/2017 |
30/12/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
47.12% |
7,622.88 |
UKX |
| DG1780000000 |
EVEN 30 Deposit Growth Plan 61 |
28/12/2017 |
28/12/2022 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,212.17 |
Even30 |
| GB00BF6XD869 |
FTSE 100 Defensive Step Down Kick-Out Plan 7 - UKFour Option |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
20.00% |
7,622.88 |
UKX |
| GB00BF6XD646 |
FTSE 100 Enhanced Kick-Out Plan 73 - UKFour Option |
28/12/2017 |
28/12/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
44.40% |
7,622.88 |
UKX |
| GB00BF6XD752 |
FTSE 100 Step Down Kick-Out� Plan 16 - UKFour Option |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
22.60% |
7,622.88 |
UKX |
| GB00BF6XDG42 |
FTSE/S&P500 Defensive Step Down Kick-Out Plan 3 - UKFour Option |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
22.80% |
2,687.54 / 7,622.88 |
SPX / UKX |
| GB00BF6XDF35 |
FTSE/S&P500 Step Down Kick-Out Plan 1 - UKFour Option |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
26.20% |
2,687.54 / 7,622.88 |
SPX / UKX |
| GB00BF6XDC04 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 7 - UKFour Option |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
26.40% |
3,524.31 / 7,622.88 |
SX5E / UKX |
| GB00BF6XDB96 |
FTSE/STOXX Step Down Kick-Out Plan 1 - UKFour Option |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
32.40% |
3,524.31 / 7,622.88 |
SX5E / UKX |
| DID775000000 |
FTSE/STOXX 5 Year Minimum Return Deposit Plan (November) |
03/11/2017 |
03/11/2022 |
|
Matured |
|
29/10/2025 |
Bespoke |
11.00% |
3,689.96 / 7,560.35 |
SX5E / UKX |
| XS1715342249 |
Triple Index Defensive (60) Step Down Kick-Out Plan (December) |
21/12/2017 |
21/12/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
32.00% |
2,684.57 / 3,570.78 / 7,603.98 |
SPX / SX5E / UKX |
| GB00BF8S3M38 |
Dual Index Income Plan December 2017 |
28/12/2017 |
28/06/2024 |
|
Matured |
|
29/10/2025 |
Bespoke |
46.25% |
2,687.54 / 7,622.88 |
SPX / UKX |
| XS1708495665 |
FTSE 100 8 Year Step down Kick Out Plan (December) |
18/12/2017 |
18/12/2019 |
|
Matured |
|
29/10/2025 |
Bespoke |
17.00% |
7,537.01 |
UKX |
| XS1722675722 |
Triple Index Defensive (60) Step Down Kick-Out Plan (Dec 2017) - Santander UK Opt |
28/12/2017 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
28.00% |
2,687.54 / 3,524.31 / 7,622.88 |
SPX / SX5E / UKX |
| DP7850000000 |
FTSE 100 3 Year Deposit Plan 1 |
28/12/2017 |
29/12/2020 |
|
Matured |
|
29/10/2025 |
3 Year Income Deposit |
0.00% |
7,622.88 |
UKX |
| DD7850000000 |
FTSE 100 3 Year Defensive Deposit Plan 1 |
28/12/2017 |
29/12/2020 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
0.00% |
7,622.88 |
UKX |
| BID785000000 |
FTSE 100 3 Year Bonus Income Deposit Plan 1 |
28/12/2017 |
29/12/2020 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
3.00% |
7,622.88 |
UKX |
| DD7900000000 |
FTSE 100 5 Year Defensive Deposit Plan 7 |
12/02/2018 |
13/02/2023 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
20.00% |
7,177.06 |
UKX |
| KD7910000000 |
FTSE 100 Kick-Out Deposit Plan 74 - Option 1 |
12/02/2018 |
14/02/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
16.00% |
7,177.06 |
UKX |
| KD7920000000 |
FTSE 100 Kick-Out Deposit Plan 74 - Option 2 |
12/02/2018 |
14/02/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
18.00% |
7,177.06 |
UKX |
| DG1790000000 |
EVEN 30 Deposit Growth Plan 62 |
12/02/2018 |
13/02/2023 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
1.59% |
2,056.74 |
Even30 |
| DP3790000000 |
FTSE 100 3 Year Deposit Plan 2 |
12/02/2018 |
12/02/2021 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
7,177.06 |
UKX |
| DD3790000000 |
FTSE 100 3 Year Defensive Deposit Plan 2 |
12/02/2018 |
12/02/2021 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.00% |
7,177.06 |
UKX |
| BID379000000 |
FTSE 100 3 Year Bonus Income Deposit Plan 2 |
12/02/2018 |
12/02/2021 |
|
Matured |
|
29/10/2025 |
3 Year Income Deposit |
6.00% |
7,177.06 |
UKX |
| GB00BF8S3Q75 |
FTSE 100 Enhanced Income Plan 40 |
12/02/2018 |
13/02/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.75% |
7,177.06 |
UKX |
| XS1736606937 |
FTSE 100 Step Down Kick-Out� Plan 17 - Investec Option |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
14.00% |
7,177.06 |
UKX |
| XS1736609527 |
FTSE 100 Defensive Kick-Out Plan 47 |
12/02/2018 |
12/02/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
20.55% |
7,177.06 |
UKX |
| XS1736636413 |
FTSE 100 Defensive Step Down Kick-Out Plan 8 |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
12.00% |
7,177.06 |
UKX |
| XS1736636504 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 8 |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
15.00% |
3,368.25 / 7,177.06 |
SX5E / UKX |
| XS1736659548 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 4 |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
13.50% |
2,656.00 / 7,177.06 |
SPX / UKX |
| XS1736662096 |
FTSE 100 Enhanced Kick-Out Plan 74 - Investec Option |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
18.50% |
7,177.06 |
UKX |
| GB00BF8S3R82 |
FTSE 100 Defensive Income Plan 5 - Option 1 |
12/02/2018 |
14/02/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
22.60% |
7,177.06 |
UKX |
| GB00BF8S3S99 |
FTSE 100 Defensive Income Plan 5 - Option 2 |
12/02/2018 |
14/02/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
29.20% |
7,177.06 |
UKX |
| GB00BF6XDN19 |
FTSE 100 Enhanced Kick-Out Plan 74 - UKFour Option |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
15.20% |
7,177.06 |
UKX |
| GB00BF6XDW00 |
FTSE 100 Step Down Kick-Out� Plan 17 - UKFour Option |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
11.50% |
7,177.06 |
UKX |
| GB00BF6XDX17 |
FTSE 100 Defensive Step Down Kick-Out Plan 8 - UKFour Option |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
10.10% |
7,177.06 |
UKX |
| GB00BF6XDY24 |
FTSE/STOXX Step Down Kick-Out Plan 2 - UKFour Option |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
15.90% |
3,368.25 / 7,177.06 |
SX5E / UKX |
| GB00BF6XDZ31 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 8 - UKFour Option |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
13.00% |
3,368.25 / 7,177.06 |
SX5E / UKX |
| GB00BF6XF021 |
FTSE/S&P500 Step Down Kick-Out Plan 2 - UKFour Option |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
13.40% |
2,656.00 / 7,177.06 |
SPX / UKX |
| GB00BF6XF138 |
FTSE/S&P500 Defensive Step Down Kick-Out Plan 4 - UKFour Option |
12/02/2018 |
12/02/2020 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
11.80% |
2,656.00 / 7,177.06 |
SPX / UKX |
| XS1747451968 |
Lowes 8:8 Kick-Out Plan 1 |
08/03/2018 |
08/03/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
22.50% |
7,203.24 |
UKX |
| XS1752413531 |
Triple Index Defensive (60) Step Down Kick-Out Plan (February 2018) - Santander UK Opt |
23/02/2018 |
23/02/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
20.10% |
2,747.30 / 3,441.46 / 7,244.41 |
SPX / SX5E / UKX |
| KD8010000000 |
FTSE 100 Kick-Out Deposit Plan 75 - Option 1 |
26/03/2018 |
28/03/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
16.00% |
6,888.69 |
UKX |
| KD8020000000 |
FTSE 100 Kick-Out Deposit Plan 75 - Option 2 |
26/03/2018 |
28/03/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
18.00% |
6,888.69 |
UKX |
| DP3800000000 |
FTSE 100 3 Year Deposit Plan 3 |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
6,888.69 |
UKX |
| DD3800000000 |
FTSE 100 3 Year Defensive Deposit Plan 3 |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.00% |
6,888.69 |
UKX |
| DD8000000000 |
FTSE 100 5 Year Defensive Deposit Plan 8 |
26/03/2018 |
27/03/2023 |
|
Matured |
|
29/10/2025 |
5 Year Deposit |
20.00% |
6,888.69 |
UKX |
| DG1800000000 |
EVEN 30 Deposit Growth Plan 63 |
26/03/2018 |
27/03/2023 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
7.62% |
1,997.89 |
Even30 |
| GB00BF8S3V29 |
FTSE 100 Defensive Income Plan 6 - Option 1 |
26/03/2018 |
28/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
22.00% |
6,888.69 |
UKX |
| GB00BF8S3W36 |
FTSE 100 Defensive Income Plan 6 - Option 2 |
26/03/2018 |
28/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
26.25% |
6,888.69 |
UKX |
| GB00BF8S3T07 |
FTSE 100 Enhanced Income Plan 41 |
26/03/2018 |
27/03/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.75% |
6,888.69 |
UKX |
| XS1758703000 |
FTSE 100 Step Down Kick-Out� Plan 18 |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
21.00% |
6,888.69 |
UKX |
| XS1758702531 |
FTSE 100 Defensive Kick-Out Plan 48 |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
20.25% |
6,888.69 |
UKX |
| XS1758702457 |
FTSE 100 Defensive Step Down Kick-Out Plan 9 |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
18.00% |
6,888.69 |
UKX |
| XS1758702028 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 5 |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
20.25% |
2,658.55 / 6,888.69 |
SPX / UKX |
| XS1758702291 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 9 |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
22.50% |
3,278.72 / 6,888.69 |
SX5E / UKX |
| XS1758703182 |
FTSE 100 Enhanced Kick-Out Plan 75 |
26/03/2018 |
26/03/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.25% |
6,888.69 |
UKX |
| GB00BF6XFB37 |
FTSE 100 Enhanced Kick-Out Plan 75 - UKFour Option |
26/03/2018 |
28/03/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
29.00% |
6,888.69 |
UKX |
| GB00BF6XFC44 |
FTSE 100 Step Down Kick-Out� Plan 18 - UKFour Option |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
16.50% |
6,888.69 |
UKX |
| GB00BF6XFD50 |
FTSE 100 Defensive Step Down Kick-Out Plan 9 - UKFour Option |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
15.00% |
6,888.69 |
UKX |
| GB00BF6XFF74 |
FTSE/STOXX Step Down Kick-Out Plan 3 - UKFour Option |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
23.40% |
3,278.72 / 6,888.69 |
SX5E / UKX |
| GB00BF6XFG81 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 9 - UKFour Option |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
19.20% |
3,278.72 / 6,888.69 |
SX5E / UKX |
| GB00BF6XFH98 |
FTSE/S&P500 Step Down Kick-Out Plan 3 - UKFour Option |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
19.50% |
2,658.55 / 6,888.69 |
SPX / UKX |
| GB00BF6XFJ13 |
FTSE/S&P500 Defensive Step Down Kick-Out Plan 5 - UKFour Option |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
16.80% |
2,658.55 / 6,888.69 |
SPX / UKX |
| BID380000000 |
FTSE 100 3 Year Bonus Income Deposit Plan 3 |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
3 Year Income Deposit |
0.00% |
6,888.69 |
UKX |
| XS1774151382 |
FTSE 100 Defensive Income Plan 6 - Santander UK Option |
26/03/2018 |
28/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
24.80% |
6,888.69 |
UKX |
| GB00BF8S3X43 |
Dual Index Income Plan March 2018 |
05/03/2018 |
06/03/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
37.50% |
2,720.94 / 7,115.98 |
SPX / UKX |
| GB00BZVQYC12 |
FTSE 100 Enhanced Kick-Out Plan 75 - Morgan Stanley Option |
26/03/2018 |
26/03/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.00% |
6,888.69 |
UKX |
| GB00BZVQYD29 |
FTSE 100 Step Down Kick-Out Plan 18 - Morgan Stanley Option |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
21.15% |
6,888.69 |
UKX |
| GB00BZVQYF43 |
FTSE 100 Defensive Step Down Kick-Out Plan 9 - Morgan Stanley Option |
26/03/2018 |
26/03/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
18.60% |
6,888.69 |
UKX |
| XS1772839160 |
FTSE/S&P500 Defensive Income Plan 1 - Santander UK Option |
29/03/2018 |
29/12/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
22.50% |
2,640.87 / 7,056.61 |
SPX / UKX |
| DKD800000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 1 |
29/03/2018 |
29/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
14.00% |
7,056.61 |
UKX |
| XS1777501237 |
Lowes 8:8 Kick-Out Plan 2 |
18/04/2018 |
19/04/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
24.00% |
7,317.34 |
UKX |
| GB00BF9B5922 |
FTSE/STOXX Step Down Kick-Out Plan 4 - UKFour Option |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
30.60% |
3,557.88 / 7,565.75 |
SX5E / UKX |
| GB00BF9B5B41 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 10 - UKFour Option |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
25.00% |
3,557.88 / 7,565.75 |
SX5E / UKX |
| GB00BF9B5C57 |
FTSE/S&P500 Step Down Kick-Out Plan 4 - UKFour Option |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
26.20% |
2,671.92 / 7,565.75 |
SPX / UKX |
| GB00BF9B5708 |
FTSE 100 Step Down Kick-Out� Plan 19 - UKFour Option |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
23.60% |
7,565.75 |
UKX |
| GB00BF9B5815 |
FTSE 100 Defensive Step Down Kick-Out Plan 10 - UKFour Option |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
21.00% |
7,565.75 |
UKX |
| GB00BF9B5D64 |
FTSE/S&P500 Defensive Step Down Kick-Out Plan 6 - UKFour Option |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
22.80% |
2,671.92 / 7,565.75 |
SPX / UKX |
| GB00BF9B5690 |
FTSE 100 Enhanced Kick-Out Plan 76 - UKFour Option |
08/05/2018 |
09/05/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
39.00% |
7,565.75 |
UKX |
| XS1791572842 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 10 |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
32.00% |
3,557.88 / 7,565.75 |
SX5E / UKX |
| XS1791573063 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 6 |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
30.00% |
2,671.92 / 7,565.75 |
SPX / UKX |
| XS1791572925 |
FTSE 100 Step Down Kick-Out� Plan 19 |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
29.00% |
7,565.75 |
UKX |
| XS1791571877 |
FTSE 100 Enhanced Kick-Out Plan 76 |
08/05/2018 |
09/05/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
50.00% |
7,565.75 |
UKX |
| KD8110000000 |
FTSE 100 Kick-Out Deposit Plan 76 |
08/05/2018 |
09/05/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
25.00% |
7,565.75 |
UKX |
| GB00BF8S4315 |
FTSE 100 Enhanced Income Plan 42 |
08/05/2018 |
08/05/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
22.50% |
7,565.75 |
UKX |
| XS1791572768 |
FTSE 100 Defensive Step Down Kick-Out Plan 10 |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
25.00% |
7,565.75 |
UKX |
| XS1791571950 |
FTSE 100 Defensive Kick-Out Plan 49 |
08/05/2018 |
10/05/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
21.00% |
7,565.75 |
UKX |
| DKD810000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 2 |
08/05/2018 |
09/05/2022 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
16.00% |
7,565.75 |
UKX |
| GB00BF8S4539 |
FTSE 100 Defensive Income Plan 7 - Option 2 |
08/05/2018 |
08/05/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
39.37% |
7,565.75 |
UKX |
| GB00BF8S4422 |
FTSE 100 Defensive Income Plan 7 - Option 1 |
08/05/2018 |
08/05/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
36.00% |
7,565.75 |
UKX |
| DP3810000000 |
FTSE 100 3 Year Deposit Plan 4 |
08/05/2018 |
08/05/2021 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
7,565.75 |
UKX |
| DD3810000000 |
FTSE 100 3 Year Defensive Deposit Plan 4 |
08/05/2018 |
10/05/2021 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
0.00% |
7,565.75 |
UKX |
| DG1810000000 |
EVEN 30 Deposit Growth Plan 64 |
08/05/2018 |
08/05/2023 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,173.69 |
Even30 |
| XS1777500932 |
Triple Index Defensive (60) Step Down Kick-Out Plan (April 2018) - Investec option |
20/04/2018 |
23/04/2019 |
|
Matured |
|
29/10/2025 |
Bespoke |
8.65% |
7,368.17 |
UKX |
| XS1777501153 |
Triple Index Defensive (60) Step Down Kick-Out Plan (April 2018) - UK 5 option |
20/04/2018 |
23/04/2019 |
|
Matured |
|
29/10/2025 |
Bespoke |
7.30% |
7,368.17 |
UKX |
| DIID00000000 |
FTSE/STOXX 5 Year Minimum Return Deposit Plan (March 2018) |
29/03/2018 |
29/03/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
11.25% |
3,361.50 / 7,056.61 |
SX5E / UKX |
| GB00BF8S4752 |
Dual Index Income Plan May 2018 |
29/05/2018 |
29/05/2024 |
|
Matured |
|
29/10/2025 |
Bespoke |
48.00% |
2,689.86 / 7,632.64 |
SPX / UKX |
| XS1791589655 |
FTSE 100 8 Year Step Down Kick-Out Plan (April 2018) |
23/04/2018 |
23/04/2019 |
|
Matured |
|
29/10/2025 |
Bespoke |
9.00% |
7,398.87 |
UKX |
| GB00BZVQYN27 |
FTSE 100 Step Down Kick-Out Plan 19 - Morgan Stanley Version |
29/05/2018 |
30/05/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
27.80% |
7,632.64 |
UKX |
| GB00BZVQYM10 |
FTSE 100 Enhanced Kick-Out Plan 76 - Morgan Stanley Version |
29/05/2018 |
29/05/2024 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
54.00% |
7,632.64 |
UKX |
| GB00BZVQYL03 |
FTSE 100 Defensive Step Down Kick-Out Plan 10 - Morgan Stanley Option |
29/05/2018 |
30/05/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
24.00% |
7,632.64 |
UKX |
| XS1811464277 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 11 |
18/06/2018 |
20/06/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
32.00% |
3,466.65 / 7,631.33 |
SX5E / UKX |
| XS1811467882 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 7 |
18/06/2018 |
21/06/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
30.00% |
2,773.75 / 7,631.33 |
SPX / UKX |
| XS1811465910 |
FTSE 100 Step Down Kick-Out� Plan 20 |
18/06/2018 |
20/06/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
30.60% |
7,631.33 |
UKX |
| KD8200000000 |
FTSE 100 Kick-Out Deposit Plan 77 |
18/06/2018 |
18/06/2024 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
30.00% |
7,631.33 |
UKX |
| XS1811437893 |
FTSE 100 Enhanced Kick-Out Plan 77 |
18/06/2018 |
18/06/2024 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
61.50% |
7,631.33 |
UKX |
| GB00BF8S4869 |
FTSE 100 Enhanced Income Plan 43 |
18/06/2018 |
19/06/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.24% |
7,631.33 |
UKX |
| XS1811444915 |
FTSE 100 Defensive Step Down Kick-Out Plan 11 |
18/06/2018 |
20/06/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
25.40% |
7,631.33 |
UKX |
| XS1811437976 |
FTSE 100 Defensive Kick-Out Plan 50 |
18/06/2018 |
18/06/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
21.00% |
7,631.33 |
UKX |
| DKD820000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 3 |
18/06/2018 |
19/06/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
20.00% |
7,631.33 |
UKX |
| GB00BF8S4B97 |
FTSE 100 Defensive Income Plan 8 - Option 2 |
18/06/2018 |
18/06/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
41.25% |
7,631.33 |
UKX |
| GB00BF8S4976 |
FTSE 100 Defensive Income Plan 8 - Option 1 |
18/06/2018 |
18/06/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
36.00% |
7,631.33 |
UKX |
| DP3820000000 |
FTSE 100 3 Year Deposit Plan 5 |
18/06/2018 |
18/06/2021 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
7,631.33 |
UKX |
| DD3820000000 |
FTSE 100 3 Year Defensive Deposit Plan 5 |
18/06/2018 |
18/06/2021 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.00% |
7,631.33 |
UKX |
| DG1820000000 |
EVEN 30 Deposit Growth Plan 65 |
18/06/2018 |
19/06/2023 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,220.24 |
Even30 |
| GB00BF9B5Q93 |
FTSE/STOXX Step Down Kick-Out Plan 5 - UKFour Option |
18/06/2018 |
20/06/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
29.20% |
3,466.65 / 7,631.33 |
SX5E / UKX |
| GB00BF9B5R01 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 11 - UKFour Option |
18/06/2018 |
20/06/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
23.20% |
3,466.65 / 7,631.33 |
SX5E / UKX |
| GB00BF9B5S18 |
FTSE/S&P500 Step Down Kick-Out Plan 5 - UKFour Option |
18/06/2018 |
21/06/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
24.60% |
2,773.75 / 7,631.33 |
SPX / UKX |
| GB00BF9B5T25 |
FTSE/S&P500 Defensive Step Down Kick-Out Plan 7 - UKFour Option |
18/06/2018 |
21/06/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
21.20% |
2,773.75 / 7,631.33 |
SPX / UKX |
| GB00BF9B5N62 |
FTSE 100 Step Down Kick-Out� Plan 20 - UKFour Option |
18/06/2018 |
20/06/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
21.20% |
7,631.33 |
UKX |
| GB00BF9B5M55 |
FTSE 100 Enhanced Kick-Out Plan 77 - UKFour Option |
18/06/2018 |
18/06/2024 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
44.10% |
7,631.33 |
UKX |
| DMRD81500000 |
FTSE/STOXX 5 Year Minimum Return Deposit Plan (June 2018) |
11/06/2018 |
12/06/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
13.00% |
3,480.22 / 7,737.43 |
SX5E / UKX |
| XS1818766971 |
Lowes 8:8 Kick-Out Plan 3 |
26/06/2018 |
28/06/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
22.50% |
7,537.92 |
UKX |
| XS1816661372 |
Triple Index Defensive (60) Step Down Kick-Out Plan (June 2018) |
22/06/2018 |
22/06/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
23.25% |
2,754.88 / 3,441.60 / 7,682.27 |
SPX / SX5E / UKX |
| GB00BF9B5P86 |
FTSE 100 Defensive Step Down Kick-Out Plan 11 - UKFour Option |
18/06/2018 |
20/06/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
18.60% |
7,631.33 |
UKX |
| DG1830000000 |
EVEN30 Deposit Growth Plan 66 |
30/07/2018 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,236.15 |
Even30 |
| DD3830000000 |
FTSE 100 3 Year Defensive Deposit Plan 6 |
30/07/2018 |
30/07/2021 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.50% |
7,700.85 |
UKX |
| DP3830000000 |
FTSE 100 3 Year Deposit Plan 6 |
30/07/2018 |
30/07/2021 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
7,700.85 |
UKX |
| XS1834768316 |
FTSE 100 Defensive Kick-Out Plan 51 |
30/07/2018 |
30/07/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
20.25% |
7,700.85 |
UKX |
| GB00BFRNF787 |
FTSE 100 Defensive Step Down Kick-Out Plan 12 - UK4 Option |
30/07/2018 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
31.00% |
7,700.85 |
UKX |
| GB00BF8S4F36 |
FTSE 100 Enhanced Income Plan 44 |
30/07/2018 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
20.00% |
7,700.85 |
UKX |
| XS1834768829 |
FTSE 100 Defensive Step Down Kick-Out Plan 12 |
30/07/2018 |
29/07/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
24.00% |
7,700.85 |
UKX |
| GB00BF9B6227 |
FTSE 100 Enhanced Kick-Out Plan 78 - UK4 Option |
30/07/2018 |
30/07/2024 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
51.60% |
7,700.85 |
UKX |
| XS1834768746 |
FTSE 100 Enhanced Kick-Out Plan 78 |
30/07/2018 |
30/07/2024 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
58.80% |
7,700.85 |
UKX |
| KD8300000000 |
FTSE 100 Kick-Out Deposit Plan 78 |
30/07/2018 |
30/07/2024 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
36.00% |
7,700.85 |
UKX |
| XS1834768233 |
FTSE 100 Step Down Kick-Out Plan 21 - Investec option |
30/07/2018 |
29/07/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
29.40% |
7,700.85 |
UKX |
| GB00BF9B6334 |
FTSE 100 Step Down Kick-Out Plan 21 - UK4 Option |
30/07/2018 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
35.00% |
7,700.85 |
UKX |
| XS1834768662 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 8 |
30/07/2018 |
29/07/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
29.00% |
2,802.60 / 7,700.85 |
SPX / UKX |
| GB00BFRNFB27 |
FTSE/S&P500 Step Down Kick-Out Plan 6 - UK4 Option |
30/07/2018 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
37.00% |
2,802.60 / 7,700.85 |
SPX / UKX |
| GB00BFRNF902 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 12 - UK4 Option |
30/07/2018 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
34.75% |
3,512.31 / 7,700.85 |
SX5E / UKX |
| XS1834768407 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 12 |
30/07/2018 |
29/07/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
30.00% |
3,512.31 / 7,700.85 |
SX5E / UKX |
| GB00BFRNF894 |
FTSE/STOXX Step Down Kick-Out Plan 6 - UK4 Option |
30/07/2018 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
42.75% |
3,512.31 / 7,700.85 |
SX5E / UKX |
| XS1835125367 |
Triple Index Defensive (60) Step Down Kick-Out Plan (July 2018) |
27/07/2018 |
27/07/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
23.25% |
2,818.82 / 3,527.18 / 7,701.31 |
SPX / SX5E / UKX |
| GB00BFRNFC34 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 8 (UK Four Option) |
30/07/2018 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
32.50% |
2,802.60 / 7,700.85 |
SPX / UKX |
| DKD830000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 4 |
30/07/2018 |
29/07/2022 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
18.00% |
7,700.85 |
UKX |
| GB00BF8S4G43 |
FTSE 100 Defensive Income Plan 9 - option 1 |
30/07/2018 |
30/07/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
36.00% |
7,700.85 |
UKX |
| GB00BF8S4H59 |
FTSE 100 Defensive Income Plan 9 - option 2 |
30/07/2018 |
30/07/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
38.58% |
7,700.85 |
UKX |
| XS1835129781 |
FTSE/S&P Defensive Kick Out Plan June 2018 |
29/06/2018 |
29/06/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
23.25% |
2,718.37 / 7,636.93 |
SPX / UKX |
| GB00BZVQZ176 |
FTSE 100 Defensive Step Down Kick-Out Plan 11 - Morgan Stanley Option |
27/07/2018 |
29/07/2024 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
0.00% |
7,701.31 |
UKX |
| GB00BZVQZ283 |
FTSE 100 Step Down Kick-Out Plan 20 - Morgan Stanley Option |
27/07/2018 |
27/07/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
26.20% |
7,701.31 |
UKX |
| GB00BZVQZ390 |
FTSE 100 Enhanced Kick-Out Plan 77 - Morgan Stanley Option |
27/07/2018 |
29/07/2024 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
0.00% |
7,701.31 |
UKX |
| GB00BF8S4C05 |
Dual Index Income Plan July 2018 |
23/07/2018 |
23/04/2024 |
|
Matured |
|
29/10/2025 |
Bespoke |
44.27% |
2,806.98 / 7,655.79 |
SPX / UKX |
| DMRD82500000 |
FTSE/STOXX 5 Year Minimum Return Deposit Plan (August 2018) |
06/08/2018 |
07/08/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
13.00% |
3,483.30 / 7,663.78 |
SX5E / UKX |
| XS1848872237 |
Investec/Lowes 8:8 Plan 4 |
16/08/2018 |
16/08/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
23.10% |
7,556.38 |
UKX |
| DG1840000000 |
EVEN30 Deposit Growth Plan 67 |
10/09/2018 |
11/09/2023 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,190.82 |
Even30 |
| DP3840000000 |
FTSE 100 3 Year Deposit Plan 7 |
10/09/2018 |
10/09/2021 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
7,279.30 |
UKX |
| DD3840000000 |
FTSE 100 3 Year Defensive Deposit Plan 7 |
10/09/2018 |
10/09/2021 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.50% |
7,279.30 |
UKX |
| DDP684000000 |
FTSE 100 6 Year Defensive Deposit Plan 15 |
10/09/2018 |
10/09/2024 |
|
Matured |
|
29/10/2025 |
6 Year Defensive Deposit |
25.00% |
7,279.30 |
UKX |
| DP6840000000 |
FTSE 100 6 Year Deposit Plan 5 |
10/09/2018 |
10/09/2024 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
45.00% |
7,279.30 |
UKX |
| DKD840000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 5 |
10/09/2018 |
12/09/2022 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
18.00% |
7,279.30 |
UKX |
| XS1856837452 |
FTSE 100 Defensive Step Down Kick-Out Plan 13 |
10/09/2018 |
10/09/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
18.45% |
7,279.30 |
UKX |
| XS1856837700 |
FTSE 100 Enhanced Kick-Out Plan 79 |
10/09/2018 |
12/09/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
40.00% |
7,279.30 |
UKX |
| KD8400000000 |
FTSE 100 Kick-Out Deposit Plan 79 |
10/09/2018 |
12/09/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
24.00% |
7,279.30 |
UKX |
| XS1856837965 |
FTSE 100 Step Down Kick-Out Plan 22 - Investec option |
10/09/2018 |
10/09/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
21.75% |
7,279.30 |
UKX |
| XS1856837619 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 9 |
10/09/2018 |
10/09/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
21.75% |
2,877.13 / 7,279.30 |
SPX / UKX |
| XS1856837536 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 13 |
10/09/2018 |
10/09/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
22.95% |
3,309.28 / 7,279.30 |
SX5E / UKX |
| GB00BF8S4K88 |
FTSE 100 Defensive Income Plan 10 - option 1 |
10/09/2018 |
10/09/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
34.80% |
7,279.30 |
UKX |
| GB00BF8S4L95 |
FTSE 100 Defensive Income Plan 10 - option 2 |
10/09/2018 |
10/09/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
43.20% |
7,279.30 |
UKX |
| IDPA84000000 |
FTSE 100 Income Deposit Plan 21 - Annual |
10/09/2018 |
10/09/2024 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.00% |
7,279.30 |
UKX |
| IDPM84000000 |
FTSE 100 Income Deposit Plan 21 - Monthly |
10/09/2018 |
10/09/2024 |
|
Matured |
|
29/10/2025 |
Income Deposit |
20.16% |
7,279.30 |
UKX |
| GB00BF8S4J73 |
FTSE 100 Enhanced Income Plan 45 |
10/09/2018 |
11/09/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.00% |
7,279.30 |
UKX |
| XS1857921610 |
Triple Index Defensive (60) Step Down Kick-Out Plan (September 2018) |
12/09/2018 |
13/09/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
22.05% |
2,888.92 / 3,326.60 / 7,313.36 |
SPX / SX5E / UKX |
| GB00BFRNFV23 |
FTSE 100 Enhanced Kick-Out Plan 79 - UK4 Option |
10/09/2018 |
12/09/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
36.00% |
7,279.30 |
UKX |
| GB00BFRNFX47 |
FTSE 100 Defensive Step Down Kick-Out Plan 13 - UK4 Option |
10/09/2018 |
12/09/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
25.40% |
7,279.30 |
UKX |
| GB00BFRNFW30 |
FTSE 100 Step Down Kick-Out Plan 22 - UK4 Option |
10/09/2018 |
12/09/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
29.40% |
7,279.30 |
UKX |
| GB00BFRNFY53 |
FTSE/STOXX Step Down Kick-Out Plan 7 - UK4 Option |
10/09/2018 |
12/09/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
36.00% |
3,309.28 / 7,279.30 |
SX5E / UKX |
| GB00BFRNFZ60 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 13 - UK4 Option |
10/09/2018 |
12/09/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
29.00% |
3,309.28 / 7,279.30 |
SX5E / UKX |
| GB00BFRNG082 |
FTSE/S&P500 Step Down Kick-Out Plan 7 - UK4 Option |
10/09/2018 |
12/09/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Step Down Kickout |
31.60% |
2,877.13 / 7,279.30 |
SPX / UKX |
| GB00BFRNG199 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 9 - UK4 Option |
10/09/2018 |
12/09/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
27.60% |
2,877.13 / 7,279.30 |
SPX / UKX |
| GB00BF8S4M03 |
Dual Index Income Plan September 2018 |
14/09/2018 |
14/09/2023 |
|
Matured |
|
29/10/2025 |
Bespoke |
36.57% |
2,904.98 / 7,304.04 |
SPX / UKX |
| DG1850000000 |
EVEN30 Deposit Growth Plan 68 |
22/10/2018 |
23/10/2023 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
3.16% |
2,069.73 |
Even30 |
| DD3850000000 |
FTSE 100 3 Year Defensive Deposit Plan 8 |
22/10/2018 |
22/10/2021 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.50% |
7,042.80 |
UKX |
| DDP685000000 |
FTSE 100 6 Year Defensive Deposit Plan 16 |
22/10/2018 |
22/10/2024 |
|
Matured |
|
29/10/2025 |
6 Year Defensive Deposit |
25.00% |
7,042.80 |
UKX |
| DP3850000000 |
FTSE 100 3 Year Deposit Plan 8 |
22/10/2018 |
22/10/2021 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
7,042.80 |
UKX |
| DP6850000000 |
FTSE 100 6 Year Deposit Plan 6 |
22/10/2018 |
22/10/2024 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
45.00% |
7,042.80 |
UKX |
| DKD850000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 6 |
22/10/2018 |
22/10/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
13.50% |
7,042.80 |
UKX |
| GB00BF8S4P34 |
FTSE 100 Defensive Income Plan 11 - option 1 |
22/10/2018 |
23/10/2023 |
|
Matured |
|
29/10/2025 |
Defensive Income |
29.00% |
7,042.80 |
UKX |
| GB00BF8S4Q41 |
FTSE 100 Defensive Income Plan 11 - option 2 |
22/10/2018 |
23/10/2023 |
|
Matured |
|
29/10/2025 |
Defensive Income |
36.00% |
7,042.80 |
UKX |
| XS1869580479 |
FTSE 100 Defensive Step Down Kick-Out Plan 14 |
22/10/2018 |
22/10/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
18.45% |
7,042.80 |
UKX |
| GB00BF8S4N10 |
FTSE 100 Enhanced Income Plan 46 |
22/10/2018 |
23/10/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.00% |
7,042.80 |
UKX |
| XS1869580719 |
FTSE 100 Enhanced Kick-Out Plan 80 |
22/10/2018 |
22/10/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.25% |
7,042.80 |
UKX |
| IDPA85000000 |
FTSE 100 Income Deposit Plan 22 - Annual |
22/10/2018 |
22/10/2024 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.00% |
7,042.80 |
UKX |
| IDPM85000000 |
FTSE 100 Income Deposit Plan 22 - Monthly |
22/10/2018 |
22/10/2024 |
|
Matured |
|
29/10/2025 |
Income Deposit |
19.88% |
7,042.80 |
UKX |
| KD8500000000 |
FTSE 100 Kick-Out Deposit Plan 80 |
22/10/2018 |
22/10/2021 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
18.00% |
7,042.80 |
UKX |
| XS1869580396 |
FTSE 100 Step Down Kick-Out Plan 23 - Investec option |
22/10/2018 |
22/10/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
21.75% |
7,042.80 |
UKX |
| XS1869580636 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 10 |
22/10/2018 |
22/10/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
21.75% |
2,755.88 / 7,042.80 |
SPX / UKX |
| XS1869580552 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 14 |
22/10/2018 |
22/10/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
22.95% |
3,190.09 / 7,042.80 |
SX5E / UKX |
| XS1869580800 |
Investec/Lowes 8:8 Plan 5 |
22/10/2018 |
22/04/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
20.00% |
7,042.80 |
UKX |
| XS1879569272 |
Triple Index Defensive (60) Step Down Kick-Out Plan (November 2018) |
02/11/2018 |
02/11/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
23.25% |
2,723.06 / 3,214.41 / 7,094.12 |
SPX / SX5E / UKX |
| GB00BF8S4R57 |
Dual Index Income Plan November 2018 |
19/11/2018 |
22/02/2022 |
|
Matured |
|
29/10/2025 |
Bespoke |
0.00% |
2,690.73 / 7,000.89 |
SPX / UKX |
| KD8600000000 |
FTSE 100 Kick-Out Deposit Plan 81 |
03/12/2018 |
03/12/2021 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
18.00% |
7,062.41 |
UKX |
| IDPM86000000 |
FTSE 100 Income Deposit Plan 23 - Monthly |
03/12/2018 |
03/12/2024 |
|
Matured |
|
29/10/2025 |
Income Deposit |
20.16% |
7,062.41 |
UKX |
| IDPA86000000 |
FTSE 100 Income Deposit Plan 23 - Annual |
03/12/2018 |
03/12/2024 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.00% |
7,062.41 |
UKX |
| DKD860000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 7 |
03/12/2018 |
03/12/2021 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
13.50% |
7,062.41 |
UKX |
| DP6860000000 |
FTSE 100 6 Year Deposit Plan 7 |
03/12/2018 |
03/12/2024 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
45.00% |
7,062.41 |
UKX |
| DDP686000000 |
FTSE 100 6 Year Defensive Deposit Plan 17 |
03/12/2018 |
03/12/2024 |
|
Matured |
|
29/10/2025 |
6 Year Defensive Deposit |
25.00% |
7,062.41 |
UKX |
| DP3860000000 |
FTSE 100 3 Year Deposit Plan 9 |
03/12/2018 |
03/12/2021 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
7,062.41 |
UKX |
| DD3860000000 |
FTSE 100 3 Year Defensive Deposit Plan 9 |
03/12/2018 |
03/12/2021 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.50% |
7,062.41 |
UKX |
| DG1860000000 |
EVEN30 Deposit Growth Plan 69 |
03/12/2018 |
04/12/2023 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,100.31 |
Even30 |
| GB00BF8S4S64 |
FTSE 100 Defensive Income Plan 12 - option 1 |
03/12/2018 |
05/12/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
23.20% |
7,062.41 |
UKX |
| GB00BF8S4T71 |
FTSE 100 Defensive Income Plan 12 - option 2 |
03/12/2018 |
05/12/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
28.80% |
7,062.41 |
UKX |
| XS1891440916 |
FTSE 100 Defensive Step Down Kick-Out Plan 15 |
03/12/2018 |
03/12/2021 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
18.75% |
7,062.41 |
UKX |
| GB00BF8S4V93 |
FTSE 100 Enhanced Income Plan 47 |
03/12/2018 |
04/12/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.00% |
7,062.41 |
UKX |
| XS1891440320 |
FTSE 100 Step Down Kick-Out Plan 24 - Investec option |
03/12/2018 |
03/12/2021 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
21.75% |
7,062.41 |
UKX |
| XS1891441054 |
FTSE/S&P 500 Defensive Step Down Kick-Out 11 |
03/12/2018 |
03/12/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
21.75% |
2,790.37 / 7,062.41 |
SPX / UKX |
| XS1891441138 |
FTSE/STOXX Defensive Step Down Kick-Out 15 |
03/12/2018 |
03/12/2021 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
22.95% |
3,214.99 / 7,062.41 |
SX5E / UKX |
| XS1891441302 |
Investec/Lowes 8:8 Plan 6 |
03/12/2018 |
03/06/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
20.00% |
7,062.41 |
UKX |
| XS1891441211 |
FTSE 100 Enhanced Kick-Out Plan 81 |
03/12/2018 |
03/12/2019 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.25% |
7,062.41 |
UKX |
| XS1899438573 |
Triple Index Defensive (60) Step Down Kick-Out Plan (December 2018) |
20/12/2018 |
20/12/2021 |
|
Matured |
|
29/10/2025 |
Bespoke |
12.34% |
6,711.93 / 3,000.06 / 2,467.42 |
UKX / SX5E / SPX |
| GB00BF8S4W01 |
Dual Index Income Plan January 2019 |
08/01/2019 |
10/01/2022 |
|
Matured |
|
29/10/2025 |
Bespoke |
0.00% |
2,574.41 / 6,861.60 |
SPX / UKX |
| DG1870000000 |
EVEN30 Deposit Growth Plan 70 |
28/01/2019 |
29/01/2024 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
4.44% |
2,050.84 |
Even30 |
| DD3870000000 |
FTSE 100 3 Year Defensive Deposit Plan 10 |
28/01/2019 |
28/01/2022 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
11.00% |
6,747.10 |
UKX |
| DP3870000000 |
FTSE 100 3 Year Deposit Plan 10 |
28/01/2019 |
28/01/2022 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
6,747.10 |
UKX |
| DDP687000000 |
FTSE 100 6 Year Defensive Deposit Plan 18 |
28/01/2019 |
28/01/2025 |
|
Matured |
|
29/10/2025 |
6 Year Defensive Deposit |
25.00% |
6,747.10 |
UKX |
| DP6870000000 |
FTSE 100 6 Year Deposit Plan 8 |
28/01/2019 |
28/01/2025 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
45.00% |
6,747.10 |
UKX |
| DKD870000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 8 |
28/01/2019 |
28/01/2022 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
13.50% |
6,747.10 |
UKX |
| IDPA87000000 |
FTSE 100 Income Deposit Plan 24 - Annual |
28/01/2019 |
28/01/2025 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.00% |
6,747.10 |
UKX |
| IDPM87000000 |
FTSE 100 Income Deposit Plan 24 - Monthly |
28/01/2019 |
28/01/2025 |
|
Matured |
|
29/10/2025 |
Income Deposit |
20.16% |
6,747.10 |
UKX |
| KD8700000000 |
FTSE 100 Kick-Out Deposit Plan 82 |
28/01/2019 |
28/01/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
18.00% |
6,747.10 |
UKX |
| GB00BF8S4X18 |
FTSE 100 Defensive Income Plan 13 - option 1 |
28/01/2019 |
28/01/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
18.00% |
6,747.10 |
UKX |
| GB00BF8S4Y25 |
FTSE 100 Defensive Income Plan 13 - option 2 |
28/01/2019 |
28/01/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
24.00% |
6,747.10 |
UKX |
| XS1911666714 |
FTSE 100 Defensive Step Down Kick-Out Plan 16 |
28/01/2019 |
28/01/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
19.50% |
6,747.10 |
UKX |
| GB00BF8S4Z32 |
FTSE 100 Enhanced Income Plan 48 |
28/01/2019 |
29/01/2024 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.00% |
6,747.10 |
UKX |
| XS1911667100 |
FTSE 100 Enhanced Kick-Out Plan 82 |
28/01/2019 |
28/01/2020 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.50% |
6,747.10 |
UKX |
| XS1911666631 |
FTSE 100 Step Down Kick-Out Plan 25 - Investec option |
28/01/2019 |
28/01/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
22.05% |
6,747.10 |
UKX |
| XS1911666987 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 12 |
28/01/2019 |
28/01/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
21.75% |
6,747.10 / 2,643.85 |
UKX / SPX |
| XS1911667019 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 16 |
28/01/2019 |
28/01/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
22.95% |
6,747.10 / 3,137.27 |
UKX / SX5E |
| XS1911667282 |
Investec/Lowes 8:8 Plan 7 |
28/01/2019 |
28/01/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
16.00% |
6,747.10 |
UKX |
| DG1880000000 |
EVEN30 Deposit Growth Plan 71 |
11/03/2019 |
11/03/2024 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,148.42 |
Even30 |
| DD3880000000 |
FTSE 100 3 Year Defensive Deposit Plan 11 |
11/03/2019 |
11/03/2022 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
11.00% |
7,130.62 |
UKX |
| DP3880000000 |
FTSE 100 3 Year Deposit Plan 11 |
11/03/2019 |
11/03/2022 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
7,130.62 |
UKX |
| DDP688000000 |
FTSE 100 6 Year Defensive Deposit Plan 19 |
11/03/2019 |
11/03/2025 |
|
Matured |
|
29/10/2025 |
6 Year Defensive Deposit |
25.00% |
7,130.62 |
UKX |
| DP6880000000 |
FTSE 100 6 Year Deposit Plan 9 |
11/03/2019 |
11/03/2025 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
45.00% |
7,130.62 |
UKX |
| IDPA88000000 |
FTSE 100 Income Deposit Plan 25 - Annual |
11/03/2019 |
11/03/2025 |
|
Matured |
|
29/10/2025 |
Income Deposit |
21.00% |
7,130.62 |
UKX |
| IDPM88000000 |
FTSE 100 Income Deposit Plan 25 - Monthly |
11/03/2019 |
11/03/2025 |
|
Matured |
|
29/10/2025 |
Income Deposit |
20.16% |
7,130.62 |
UKX |
| KD8800000000 |
FTSE 100 Kick-Out Deposit Plan 83 |
11/03/2019 |
13/03/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
24.00% |
7,130.62 |
UKX |
| GB00BF8S5387 |
FTSE 100 Defensive Income Plan 14 - Option 1 |
11/03/2019 |
13/03/2023 |
|
Matured |
|
29/10/2025 |
Defensive Income |
24.00% |
7,130.62 |
UKX |
| GB00BF8S5163 |
FTSE 100 Defensive Income Plan 14 - Option 2 |
11/03/2019 |
13/03/2023 |
|
Matured |
|
29/10/2025 |
Defensive Income |
32.00% |
7,130.62 |
UKX |
| XS1935061272 |
FTSE 100 Defensive Kick-Out Plan 52 |
11/03/2019 |
11/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Kickout |
19.50% |
7,130.62 |
UKX |
| GB00BF8S5270 |
FTSE 100 Enhanced Income Plan 49 |
11/03/2019 |
11/03/2024 |
|
Matured |
|
29/10/2025 |
Enhanced Income |
21.30% |
7,130.62 |
UKX |
| XS1935061512 |
FTSE 100 Enhanced Kick-Out Plan 83 |
11/03/2019 |
13/03/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
48.00% |
7,130.62 |
UKX |
| XS1935061355 |
FTSE 100 Step Down Kick-Out Plan 26 - Investec option |
11/03/2019 |
11/03/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
24.00% |
7,130.62 |
UKX |
| XS1935061868 |
FTSE/S&P 500 Defensive Step Down Kick-Out Plan 13 |
11/03/2019 |
11/03/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
24.00% |
7,130.62 / 2,783.30 |
UKX / SPX |
| XS1935061603 |
FTSE/STOXX Defensive Step Down Kick-Out Plan 17 |
11/03/2019 |
11/03/2022 |
|
Matured |
|
29/10/2025 |
Dual Index Defensive Step Down Kickout |
24.45% |
7,130.62 / 3,304.44 |
UKX / SX5E |
| XS1935061439 |
Investec/Lowes 8:8 Plan 8 |
11/03/2019 |
11/03/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
17.00% |
7,130.62 |
UKX |
| DKD880000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 9 |
11/03/2019 |
13/03/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
18.00% |
7,130.62 |
UKX |
| XS1935061942 |
FTSE 100 Defensive Step Down Kick-Out Plan 17 |
11/03/2019 |
11/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
21.00% |
7,130.62 |
UKX |
| GB00BF8S5494 |
Dual Index Income Plan March 2019 |
08/03/2019 |
08/06/2022 |
|
Matured |
|
29/10/2025 |
Bespoke |
12.27% |
2,743.07 / 7,104.31 |
SPX / UKX |
| DG1890000000 |
EVEN30 Deposit Growth Plan 72 |
29/04/2019 |
29/04/2024 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,236.16 |
Even30 |
| DD3890000000 |
FTSE 100 3 Year Defensive Deposit Plan 12 |
29/04/2019 |
29/04/2022 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.50% |
7,440.66 |
UKX |
| DP3890000000 |
FTSE 100 3 Year Deposit Plan 12 |
29/04/2019 |
29/04/2022 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
7,440.66 |
UKX |
| DDP689000000 |
FTSE 100 6 Year Defensive Deposit Plan 20 |
29/04/2019 |
29/04/2025 |
|
Matured |
|
29/10/2025 |
6 Year Defensive Deposit |
22.50% |
7,440.66 |
UKX |
| DP6890000000 |
FTSE 100 6 Year Deposit Plan 10 |
29/04/2019 |
29/04/2025 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
42.00% |
7,440.66 |
UKX |
| DKD890000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 10 |
29/04/2019 |
29/04/2022 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
13.50% |
7,440.66 |
UKX |
| IDPA89000000 |
FTSE 100 Income Deposit Plan 26 - Annual |
29/04/2019 |
29/04/2025 |
|
Matured |
|
29/10/2025 |
Income Deposit |
19.50% |
7,440.66 |
UKX |
| IDPM89000000 |
FTSE 100 Income Deposit Plan 26 - Monthly |
29/04/2019 |
29/04/2025 |
|
Matured |
|
29/10/2025 |
Income Deposit |
18.72% |
7,440.66 |
UKX |
| KD8900000000 |
FTSE 100 Kick-Out Deposit Plan 84 |
29/04/2019 |
29/04/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
18.00% |
7,440.66 |
UKX |
| GB00BF8S5502 |
FTSE 100 Defensive Income Plan 15 - Option 1 |
29/04/2019 |
02/05/2023 |
|
Matured |
|
29/10/2025 |
Defensive Income |
21.60% |
7,440.66 |
UKX |
| GB00BF8S5619 |
FTSE 100 Defensive Income Plan 15 - Option 2 |
29/04/2019 |
02/05/2023 |
|
Matured |
|
29/10/2025 |
Defensive Income |
25.20% |
7,440.66 |
UKX |
| XS1955110470 |
FTSE 100 Defensive Step Down Kick-Out Plan 18 |
29/04/2019 |
29/04/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
18.45% |
7,440.66 |
UKX |
| XS1955110553 |
FTSE 100 Enhanced Kick-Out Plan 84 |
29/04/2019 |
29/04/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
30.75% |
7,440.66 |
UKX |
| XS1955110124 |
FTSE 100 Step Down Kick-Out Plan 27 |
29/04/2019 |
29/04/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
21.75% |
7,440.66 |
UKX |
| XS1955111106 |
Investec/Lowes 8:8 Plan 9 |
29/04/2019 |
29/04/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
15.20% |
7,440.66 |
UKX |
| DG1900000000 |
EVEN30 Deposit Growth Plan 73 |
17/06/2019 |
17/06/2024 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,276.29 |
EVEN30 |
| DP3900000000 |
FTSE 100 3 Year Deposit Plan 49 |
17/06/2019 |
17/06/2022 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
15.00% |
7,357.31 |
UKX |
| DD3900000000 |
FTSE 100 3 Year Defensive Deposit Plan 13 |
17/06/2019 |
17/06/2022 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.50% |
7,357.31 |
UKX |
| DDP906000000 |
FTSE 100 6 Year Defensive Deposit Plan 21 |
17/06/2019 |
17/06/2025 |
|
Matured |
|
29/10/2025 |
6 Year Defensive Deposit |
22.50% |
7,357.31 |
UKX |
| DP9060000000 |
FTSE 100 6 Year Deposit Plan 11 |
17/06/2019 |
17/06/2025 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
42.00% |
7,357.31 |
UKX |
| DKD900000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 11 |
17/06/2019 |
19/06/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
18.00% |
7,357.31 |
UKX |
| KD9000000000 |
FTSE 100 Kick-Out Deposit Plan 85 |
17/06/2019 |
19/06/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
24.00% |
7,357.31 |
UKX |
| GB00BF8S5833 |
FTSE 100 Defensive Income Plan 16 - Option 1 |
17/06/2019 |
17/06/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
25.50% |
7,357.31 |
UKX |
| GB00BF8S5940 |
FTSE 100 Defensive Income Plan 16 - Option 2 |
17/06/2019 |
17/06/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
31.82% |
7,357.31 |
UKX |
| XS1982106418 |
FTSE 100 Defensive Step Down Kick-Out Plan 19 |
17/06/2019 |
17/06/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
16.95% |
7,357.31 |
UKX |
| XS1982106509 |
FTSE 100 Enhanced Kick-Out Plan 85 |
17/06/2019 |
19/06/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
38.40% |
7,357.31 |
UKX |
| XS1982106335 |
FTSE 100 Step Down Kick-Out Plan 28 |
17/06/2019 |
17/06/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
20.25% |
7,357.31 |
UKX |
| XS1982119668 |
Investec/Lowes 8:8 Plan 10 |
17/06/2019 |
17/06/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
14.00% |
7,357.31 |
UKX |
| IDPM90000000 |
FTSE 100 Income Deposit Plan 27 - Monthly |
17/06/2019 |
17/06/2025 |
|
Matured |
|
29/10/2025 |
Income Deposit |
18.46% |
7,357.31 |
UKX |
| XS1992163417 |
FTSE 100 8 Year Step Down Kick-Out Plan (May 2019) |
31/05/2019 |
31/05/2022 |
|
Matured |
|
29/10/2025 |
Bespoke |
26.25% |
7,161.71 |
UKX |
| KD9100000000 |
FTSE 100 Kick-Out Deposit Plan 86 |
29/07/2019 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
24.00% |
7,686.61 |
UKX |
| IDPM91000000 |
FTSE 100 Income Deposit Plan 28 - Monthly |
29/07/2019 |
29/07/2025 |
|
Matured |
|
29/10/2025 |
Income Deposit |
18.20% |
7,686.61 |
UKX |
| DKD910000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 12 |
29/07/2019 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
18.00% |
7,686.61 |
UKX |
| DP9160000000 |
FTSE 100 6 Year Deposit Plan 12 |
29/07/2019 |
29/07/2025 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
42.00% |
7,686.61 |
UKX |
| DDP916000000 |
FTSE 100 6 Year Defensive Deposit Plan 22 |
29/07/2019 |
29/07/2025 |
|
Matured |
|
29/10/2025 |
6 Year Defensive Deposit |
22.50% |
7,686.61 |
UKX |
| XS2004420837 |
Investec/Lowes 8:8 Plan 11 |
29/07/2019 |
29/07/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
14.00% |
7,686.61 |
UKX |
| DP3910000000 |
FTSE 100 3 Year Deposit Plan 50 |
29/07/2019 |
29/07/2022 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
7,686.61 |
UKX |
| DD3910000000 |
FTSE 100 3 Year Defensive Deposit Plan 14 |
29/07/2019 |
29/07/2022 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.50% |
7,686.61 |
UKX |
| XS2004420597 |
FTSE 100 Step Down Kick-Out Plan 29 |
29/07/2019 |
29/07/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
20.25% |
7,686.61 |
UKX |
| XS2004420753 |
FTSE 100 Enhanced Kick-Out Plan 86 |
29/07/2019 |
31/07/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
38.40% |
7,686.61 |
UKX |
| DG1910000000 |
EVEN 30TM Deposit Growth Plan 74 |
29/07/2019 |
29/07/2024 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,359.73 |
EVEN30 |
| XS2004420670 |
FTSE 100 Defensive Step Down Kick-Out Plan 20 |
29/07/2019 |
29/07/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
16.95% |
7,686.61 |
UKX |
| GB00BF8S5C79 |
FTSE 100 Defensive Income Plan 17 - Option 2 |
29/07/2019 |
29/07/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
28.47% |
7,686.61 |
UKX |
| GB00BF8S5B62 |
FTSE 100 Defensive Income Plan 17 - Option 1 |
29/07/2019 |
29/07/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
25.50% |
7,686.61 |
UKX |
| DG1920000000 |
EVEN 30TM Deposit Growth Plan 75 |
16/09/2019 |
16/09/2024 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,284.34 |
EVEN30 |
| DD3920000000 |
FTSE 100 3 Year Defensive Deposit Plan 15 |
16/09/2019 |
16/09/2022 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.50% |
7,321.41 |
UKX |
| DP3920000000 |
FTSE 100 3 Year Deposit Plan 51 |
16/09/2019 |
16/09/2022 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
7,321.41 |
UKX |
| DDP926000000 |
FTSE 100 6 Year Defensive Deposit Plan 23 |
16/09/2019 |
16/09/2025 |
|
Matured |
|
29/10/2025 |
6 Year Defensive Deposit |
21.00% |
7,321.41 |
UKX |
| DP9260000000 |
FTSE 100 6 Year Deposit Plan 13 |
16/09/2019 |
16/09/2025 |
|
Matured |
|
29/10/2025 |
6 Year Deposit |
42.00% |
7,321.41 |
UKX |
| DKD920000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 13 |
16/09/2019 |
16/09/2022 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
11.25% |
7,321.41 |
UKX |
| IDPM92000000 |
FTSE 100 Income Deposit Plan 29 - Monthly |
16/09/2019 |
16/09/2025 |
|
Matured |
|
29/10/2025 |
Income Deposit |
16.56% |
7,321.41 |
UKX |
| KD9200000000 |
FTSE 100 Kick-Out Deposit Plan 87 |
16/09/2019 |
16/09/2022 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
16.50% |
7,321.41 |
UKX |
| GB00BF8S5D86 |
FTSE 100 Defensive Income Plan 18 - Option 1 |
16/09/2019 |
16/09/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
24.00% |
7,321.41 |
UKX |
| GB00BF8S5F01 |
FTSE 100 Defensive Income Plan 18 - Option 2 |
16/09/2019 |
16/09/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
30.40% |
7,321.41 |
UKX |
| XS2027600746 |
FTSE 100 Defensive Step Down Kick-Out Plan 21 |
16/09/2019 |
16/09/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
16.50% |
7,321.41 |
UKX |
| XS2027600829 |
FTSE 100 Enhanced Kick-Out Plan 87 |
16/09/2019 |
16/09/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
27.75% |
7,321.41 |
UKX |
| XS2027600662 |
FTSE 100 Step Down Kick-Out Plan 30 |
16/09/2019 |
16/09/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
19.50% |
7,321.41 |
UKX |
| XS2027601041 |
Investec/Lowes 8:8 Plan 12 |
16/09/2019 |
16/09/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
13.40% |
7,321.41 |
UKX |
| XS2050541544 |
Investec/Lowes 8:8 Plan 13 |
04/11/2019 |
04/11/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
14.60% |
7,369.69 |
UKX |
| XS2050541205 |
FTSE 100 Step Down Kick-Out Plan 31 |
04/11/2019 |
04/11/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
21.30% |
7,369.69 |
UKX |
| XS2050541460 |
FTSE 100 Enhanced Kick-Out Plan 88 |
04/11/2019 |
06/11/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
41.00% |
7,369.69 |
UKX |
| XS2050541387 |
FTSE 100 Defensive Step Down Kick-Out Plan 22 |
04/11/2019 |
04/11/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
17.25% |
7,369.69 |
UKX |
| DG1930000000 |
EVEN 30TM Deposit Growth Plan 76 |
04/11/2019 |
04/11/2024 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,309.97 |
EVEN30 |
| GB00BF8S5H25 |
FTSE 100 Defensive Income Plan 19 - Option 2 |
04/11/2019 |
04/11/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
27.91% |
7,369.69 |
UKX |
| GB00BF8S5G18 |
FTSE 100 Defensive Income Plan 19 - Option 1 |
04/11/2019 |
04/11/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
29.38% |
7,369.69 |
UKX |
| DD3930000000 |
FTSE 100 3 Year Defensive Deposit Plan 16 |
04/11/2019 |
04/11/2022 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.00% |
7,369.69 |
UKX |
| DP3930000000 |
FTSE 100 3 Year Deposit Plan 52 |
04/11/2019 |
04/11/2022 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
7,369.69 |
UKX |
| DDP936000000 |
FTSE 100 6 Year Defensive Deposit Plan 24 |
04/11/2019 |
04/11/2025 |
118.90% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
7,369.69 |
UKX |
| DP9360000000 |
FTSE 100 6 Year Deposit Plan 14 |
04/11/2019 |
04/11/2025 |
140.88% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
7,369.69 |
UKX |
| DKD930000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 14 |
04/11/2019 |
06/11/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
15.00% |
7,369.69 |
UKX |
| IDPM93000000 |
FTSE 100 Income Deposit Plan 30 - Monthly |
04/11/2019 |
04/11/2025 |
99.13% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
7,369.69 |
UKX |
| KD9300000000 |
FTSE 100 Kick-Out Deposit Plan 88 |
04/11/2019 |
06/11/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
21.00% |
7,369.69 |
UKX |
| KD9400000000 |
FTSE 100 Kick-Out Deposit Plan 89 |
23/12/2019 |
27/12/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
21.00% |
7,623.59 |
UKX |
| DKD940000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 15 |
23/12/2019 |
27/12/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
16.00% |
7,623.59 |
UKX |
| DP9460000000 |
FTSE 100 6 Year Deposit Plan 15 |
23/12/2019 |
23/12/2025 |
139.85% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
7,623.59 |
UKX |
| DDP946000000 |
FTSE 100 6 Year Defensive Deposit Plan 25 (Min Return version) |
23/12/2019 |
23/12/2025 |
116.02% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
7,623.59 |
UKX |
| DP3940000000 |
FTSE 100 3 Year Deposit Plan 53 |
23/12/2019 |
23/12/2022 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
0.00% |
7,623.59 |
UKX |
| DD3940000000 |
FTSE 100 3 Year Defensive Deposit Plan 17 |
23/12/2019 |
23/12/2022 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.00% |
7,623.59 |
UKX |
| DG1940000000 |
EVEN 30TM Deposit Growth Plan 77 |
23/12/2019 |
23/12/2024 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,412.23 |
EVEN30 |
| IDPM94000000 |
FTSE 100 Income Deposit Plan 31 - Monthly |
23/12/2019 |
23/12/2025 |
98.57% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
7,623.59 |
UKX |
| GB00BF8S5J49 |
FTSE 100 Defensive Income Plan 20 - Option 1 |
23/12/2019 |
23/12/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
25.00% |
7,623.59 |
UKX |
| GB00BF8S5K53 |
FTSE 100 Defensive Income Plan 20 - Option 2 |
23/12/2019 |
23/12/2024 |
|
Matured |
|
29/10/2025 |
Defensive Income |
30.60% |
7,623.59 |
UKX |
| XS2068115794 |
FTSE 100 Defensive Step Down Kick-Out Plan 23 |
23/12/2019 |
23/12/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
17.25% |
7,623.59 |
UKX |
| XS2068115877 |
FTSE 100 Enhanced Kick-Out Plan 89 |
23/12/2019 |
27/12/2023 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
40.00% |
7,623.59 |
UKX |
| XS2068115521 |
FTSE 100 Step Down Kick-Out Plan 32 |
23/12/2019 |
23/12/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
21.00% |
7,623.59 |
UKX |
| XS2068115950 |
Investec/Lowes 8:8 Plan 14 |
23/12/2019 |
23/12/2021 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
14.50% |
7,623.59 |
UKX |
| KD9500000000 |
FTSE 100 Kick-Out Deposit Plan 90 |
10/02/2020 |
10/02/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.75% |
7,446.88 |
UKX |
| IDPM95000000 |
FTSE 100 Income Deposit Plan 32 - Monthly |
10/02/2020 |
10/02/2026 |
98.31% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
7,446.88 |
UKX |
| DKD950000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 16 |
10/02/2020 |
10/02/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
12.00% |
7,446.88 |
UKX |
| DP9560000000 |
FTSE 100 6 Year Deposit Plan 16 |
10/02/2020 |
10/02/2026 |
138.84% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
7,446.88 |
UKX |
| DDP956000000 |
FTSE 100 6 Year Defensive Deposit Plan 26 |
10/02/2020 |
10/02/2026 |
118.12% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
7,446.88 |
UKX |
| DP4950000000 |
FTSE 100 3 Year Deposit Plan 54 |
10/02/2020 |
10/02/2023 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
14.00% |
7,446.88 |
UKX |
| DD4950000000 |
FTSE 100 3 Year Defensive Deposit Plan 18 |
10/02/2020 |
10/02/2023 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
10.00% |
7,446.88 |
UKX |
| DG1950000000 |
EVEN 30TM Deposit Growth Plan 78 |
10/02/2020 |
10/02/2025 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
0.00% |
2,400.40 |
EVEN30 |
| XS2090078192 |
Investec/Lowes 8:8 Plan 15 |
10/02/2020 |
10/02/2022 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
14.50% |
7,446.88 |
UKX |
| XS2090076907 |
FTSE 100 Step Down Kick-Out Plan 33 |
10/02/2020 |
10/02/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
14.00% |
7,446.88 |
UKX |
| XS2090077624 |
FTSE 100 Enhanced Kick-Out Plan 90 |
10/02/2020 |
10/02/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
20.00% |
7,446.88 |
UKX |
| XS2090077541 |
FTSE 100 Defensive Step Down Kick-Out Plan 24 |
10/02/2020 |
10/02/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
11.50% |
7,446.88 |
UKX |
| GB00BF8S5M77 |
FTSE 100 Defensive Income Plan 21 - Option 2 |
10/02/2020 |
10/02/2023 |
|
Matured |
|
29/10/2025 |
Defensive Income |
17.93% |
7,446.88 |
UKX |
| GB00BF8S5L60 |
FTSE 100 Defensive Income Plan 21 - Option 1 |
10/02/2020 |
10/02/2023 |
|
Matured |
|
29/10/2025 |
Defensive Income |
14.64% |
7,446.88 |
UKX |
| XS2106013845 |
FTSE 100 8 Year Step Down Kick Out Plan (January 2020) |
17/02/2020 |
17/02/2022 |
|
Matured |
|
29/10/2025 |
Bespoke |
17.50% |
7,433.25 |
UKX |
| DD3960000000 |
FTSE 100 3 Year Defensive Deposit Plan 19 |
16/03/2020 |
16/03/2023 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
9.00% |
5,151.08 |
UKX |
| DP3960000000 |
FTSE 100 3 Year Deposit Plan 55 |
16/03/2020 |
16/03/2023 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
13.00% |
5,151.08 |
UKX |
| DDP966000000 |
FTSE 100 6 Year Defensive Deposit Plan 27 (Min Return version) |
16/03/2020 |
16/03/2026 |
113.59% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
5,151.08 |
UKX |
| DP9660000000 |
FTSE 100 6 Year Deposit Plan 17 |
16/03/2020 |
16/03/2026 |
135.22% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
5,151.08 |
UKX |
| DG1960000000 |
EVEN 30TM Deposit Growth Plan 79 |
16/03/2020 |
17/03/2025 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
55.93% |
1,815.18 |
EVEN30 |
| DKD960000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 17 |
16/03/2020 |
16/03/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
12.00% |
5,151.08 |
UKX |
| IDPM96000000 |
FTSE 100 Income Deposit Plan 33 - Monthly |
16/03/2020 |
16/03/2026 |
97.94% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
5,151.08 |
UKX |
| KD9600000000 |
FTSE 100 Kick-Out Deposit Plan 91 |
16/03/2020 |
16/03/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.00% |
5,151.08 |
UKX |
| GB00BF8S5P09 |
FTSE 100 Defensive Income Plan 22 - Option 1 |
16/03/2020 |
16/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
9.20% |
5,151.08 |
UKX |
| GB00BF8S5Q16 |
FTSE 100 Defensive Income Plan 22 - Option 2 |
16/03/2020 |
16/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
9.20% |
5,151.08 |
UKX |
| XS2107304193 |
FTSE 100 Defensive Step Down Kick-Out Plan 25 |
16/03/2020 |
16/03/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
11.00% |
5,151.08 |
UKX |
| XS2107304276 |
FTSE 100 Enhanced Kick-Out Plan 91 |
16/03/2020 |
16/03/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.50% |
5,151.08 |
UKX |
| XS2106857159 |
FTSE 100 Step Down Kick-Out Plan 34 |
16/03/2020 |
16/03/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
14.00% |
5,151.08 |
UKX |
| XS2107304433 |
Investec/Lowes 8:8 Plan 16 |
16/03/2020 |
16/03/2022 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
14.00% |
5,151.08 |
UKX |
| DG1970000000 |
EVEN 30TM Deposit Growth Plan 80 |
04/05/2020 |
06/05/2025 |
|
Matured |
|
29/10/2025 |
Deposit Growth |
44.25% |
1,902.52 |
EVEN30 |
| DD3970000000 |
FTSE 100 3 Year Defensive Deposit Plan 20 |
04/05/2020 |
04/05/2023 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
9.00% |
5,753.78 |
UKX |
| DP3970000000 |
FTSE 100 3 Year Deposit Plan 56 |
04/05/2020 |
04/05/2023 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
13.00% |
5,753.78 |
UKX |
| DDP967000000 |
FTSE 100 6 Year Defensive Deposit Plan 28 (Min Return version) |
04/05/2020 |
05/05/2026 |
113.73% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
5,753.78 |
UKX |
| DP9670000000 |
FTSE 100 6 Year Deposit Plan 18 |
04/05/2020 |
05/05/2026 |
134.22% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
5,753.78 |
UKX |
| DKD970000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 18 |
04/05/2020 |
04/05/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
12.00% |
5,753.78 |
UKX |
| IDPM97000000 |
FTSE 100 Income Deposit Plan 34 - Monthly |
04/05/2020 |
05/05/2026 |
97.61% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
5,753.78 |
UKX |
| KD9700000000 |
FTSE 100 Kick-Out Deposit Plan 92 |
04/05/2020 |
04/05/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
15.00% |
5,753.78 |
UKX |
| XS2128543878 |
FTSE 100 8 Year Defensive Kick-Out Plan 1 |
04/05/2020 |
04/05/2023 |
|
Matured |
|
29/10/2025 |
8 Year Def Kickout |
24.00% |
5,753.78 |
UKX |
| XS2128543951 |
FTSE 100 8 Year Kick-Out Plan 1 |
04/05/2020 |
04/05/2022 |
|
Matured |
|
29/10/2025 |
8 Year Kickout |
23.00% |
5,753.78 |
UKX |
| GB00BF8S5R23 |
FTSE 100 Defensive Income Plan 23 - Option 1 |
04/05/2020 |
04/05/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
9.20% |
5,753.78 |
UKX |
| GB00BF8S5S30 |
FTSE 100 Defensive Income Plan 23 - Option 2 |
04/05/2020 |
04/05/2022 |
|
Matured |
|
29/10/2025 |
Defensive Income |
12.00% |
5,753.78 |
UKX |
| XS2122998128 |
FTSE 100 Defensive Step Down Kick-Out Plan 26 |
04/05/2020 |
04/05/2022 |
|
Matured |
|
29/10/2025 |
Defensive Step Down Kickout |
11.00% |
5,753.78 |
UKX |
| XS2122998391 |
FTSE 100 Enhanced Kick-Out Plan 92 |
04/05/2020 |
04/05/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
10.00% |
5,753.78 |
UKX |
| XS2122998045 |
FTSE 100 Step Down Kick-Out Plan 35 |
04/05/2020 |
04/05/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
14.00% |
5,753.78 |
UKX |
| XS2122998474 |
Investec/Lowes 8:8 Plan 17 |
04/05/2020 |
04/05/2022 |
|
Matured |
|
29/10/2025 |
8 8 Plan |
14.50% |
5,753.78 |
UKX |
| DD3980000000 |
FTSE 100 3 Year Defensive Deposit Plan 21 |
22/06/2020 |
22/06/2023 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
8.10% |
6,244.62 |
UKX |
| DP3980000000 |
FTSE 100 3 Year Deposit Plan 57 |
22/06/2020 |
22/06/2023 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
10.50% |
6,244.62 |
UKX |
| DDP698000000 |
FTSE 100 6 Year Defensive Deposit Plan 29 (Min Return Version) |
22/06/2020 |
22/06/2026 |
112.53% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
6,244.62 |
UKX |
| DP6980000000 |
FTSE 100 6 Year Deposit Plan 19 |
22/06/2020 |
22/06/2026 |
124.09% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
6,244.62 |
UKX |
| DKD980000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 19 |
22/06/2020 |
22/06/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
11.25% |
6,244.62 |
UKX |
| IDPM98000000 |
FTSE 100 Income Deposit Plan 35 - Monthly |
22/06/2020 |
22/06/2026 |
96.80% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
6,244.62 |
UKX |
| KD9800000000 |
FTSE 100 Kick-Out Deposit Plan 93 |
22/06/2020 |
22/06/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
13.50% |
6,244.62 |
UKX |
| XS2158929054 |
FTSE 100 8 Year Defensive Kick-Out Plan 2 |
22/06/2020 |
22/06/2023 |
|
Matured |
|
29/10/2025 |
8 Year Def Kickout |
22.50% |
6,244.62 |
UKX |
| XS2158929484 |
FTSE 100 8 Year Kick-Out Plan 2 |
22/06/2020 |
22/06/2022 |
|
Matured |
|
29/10/2025 |
8 Year Kickout |
20.00% |
6,244.62 |
UKX |
| XS2158929211 |
FTSE 100 Enhanced Kick-Out Plan 93 |
22/06/2020 |
22/06/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.50% |
6,244.62 |
UKX |
| XS2158929138 |
FTSE 100 Step Down Kick-Out Plan 36 |
22/06/2020 |
22/06/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
14.00% |
6,244.62 |
UKX |
| XS2189692754 |
FTSE 100 8 Year Defensive Kick-Out Plan 3 |
10/08/2020 |
10/08/2023 |
|
Matured |
|
29/10/2025 |
8 Year Def Kickout |
21.00% |
6,050.59 |
UKX |
| XS2189692242 |
FTSE 100 8 Year Kick-Out Plan 3 |
10/08/2020 |
10/08/2022 |
|
Matured |
|
29/10/2025 |
8 Year Kickout |
19.00% |
6,050.59 |
UKX |
| XS2189692168 |
FTSE 100 Enhanced Kick-Out Plan 94 |
10/08/2020 |
10/08/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
9.10% |
6,050.59 |
UKX |
| XS2189692085 |
FTSE 100 Step Down Kick-Out Plan 37 |
10/08/2020 |
10/08/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
12.50% |
6,050.59 |
UKX |
| DD3990000000 |
FTSE 100 3 Year Defensive Deposit Plan 22 |
10/08/2020 |
10/08/2023 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
7.50% |
6,050.59 |
UKX |
| DP3990000000 |
FTSE 100 3 Year Deposit Plan 58 |
10/08/2020 |
10/08/2023 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
9.60% |
6,050.59 |
UKX |
| DDP699000000 |
FTSE 100 6 Year Defensive Deposit Plan 30 (Min Return Version) |
10/08/2020 |
10/08/2026 |
112.04% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
6,050.59 |
UKX |
| DP6990000000 |
FTSE 100 6 Year Deposit Plan 20 |
10/08/2020 |
10/08/2026 |
120.66% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
6,050.59 |
UKX |
| DKD990000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 20 |
10/08/2020 |
10/08/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
8.25% |
6,050.59 |
UKX |
| IDPM99000000 |
FTSE 100 Income Deposit Plan 36 - Monthly |
10/08/2020 |
10/08/2026 |
96.48% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
6,050.59 |
UKX |
| KD9900000000 |
FTSE 100 Kick-Out Deposit Plan 94 |
10/08/2020 |
10/08/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
10.50% |
6,050.59 |
UKX |
| DD3100000000 |
FTSE 100 3 Year Defensive Deposit Plan 23 |
28/09/2020 |
28/09/2023 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
5.25% |
5,927.93 |
UKX |
| DP3100000000 |
FTSE 100 3 Year Deposit Plan 59 |
28/09/2020 |
28/09/2023 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
6.60% |
5,927.93 |
UKX |
| D6P100000000 |
FTSE 100 6 Year Deposit Plan 21 |
28/09/2020 |
28/09/2026 |
113.39% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
5,927.93 |
UKX |
| DKD100000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 21 |
28/09/2020 |
28/09/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
6.75% |
5,927.93 |
UKX |
| DDP610000000 |
FTSE 100 6 Year Defensive Deposit Plan 31 (Min Return Version) |
28/09/2020 |
28/09/2026 |
107.23% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
5,927.93 |
UKX |
| IDPM10000000 |
FTSE 100 Income Deposit Plan 37 - Monthly |
28/09/2020 |
28/09/2026 |
95.85% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
5,927.93 |
UKX |
| KD1000000000 |
FTSE 100 Kick-Out Deposit Plan 95 |
28/09/2020 |
28/09/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
8.25% |
5,927.93 |
UKX |
| F4G100000000 |
FTSE4Good 6 Year Deposit Plan 1 |
28/09/2020 |
28/09/2026 |
111.63% |
Live |
Download |
29/10/2025 |
F4G 6 Year Deposit |
|
5,123.86 |
4UK5X |
| XS2210189317 |
FTSE 100 8 Year Defensive Kick-Out Plan 4 |
28/09/2020 |
28/09/2023 |
|
Matured |
|
29/10/2025 |
8 Year Def Kickout |
18.00% |
5,927.93 |
UKX |
| XS2210189077 |
FTSE 100 8 Year Kick-Out Plan 4 |
28/09/2020 |
28/09/2022 |
|
Matured |
|
29/10/2025 |
8 Year Kickout |
16.50% |
5,927.93 |
UKX |
| XS2210188939 |
FTSE 100 Enhanced Kick-Out Plan 95 |
28/09/2020 |
28/09/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.50% |
5,927.93 |
UKX |
| XS2210188855 |
FTSE 100 Step Down Kick-Out Plan 38 |
28/09/2020 |
28/09/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
11.50% |
5,927.93 |
UKX |
| DD3101000000 |
FTSE 100 3 Year Defensive Deposit Plan 24 |
16/11/2020 |
16/11/2023 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
4.50% |
6,421.29 |
UKX |
| DP3101000000 |
FTSE 100 3 Year Deposit Plan 60 |
16/11/2020 |
16/11/2023 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
5.70% |
6,421.29 |
UKX |
| DDP610100000 |
FTSE 100 6 Year Defensive Deposit Plan 32 (Min Return version) |
16/11/2020 |
16/11/2026 |
106.67% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
6,421.29 |
UKX |
| DP6101000000 |
FTSE 100 6 Year Deposit Plan 22 |
16/11/2020 |
16/11/2026 |
112.29% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
6,421.29 |
UKX |
| DKD101000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 22 |
16/11/2020 |
16/11/2023 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
5.25% |
6,421.29 |
UKX |
| IDPM10100000 |
FTSE 100 Income Deposit Plan 38 - Monthly |
16/11/2020 |
16/11/2026 |
95.53% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
6,421.29 |
UKX |
| KD1010000000 |
FTSE 100 Kick-Out Deposit Plan 96 |
16/11/2020 |
16/11/2023 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
7.50% |
6,421.29 |
UKX |
| FG4101000000 |
FTSE4Good 6 Year Deposit Plan 2 |
16/11/2020 |
16/11/2026 |
110.48% |
Live |
Download |
29/10/2025 |
F4G 6 Year Deposit |
|
5,544.16 |
4UK5X |
| XS1787682712 |
FTSE 100 8 Year Defensive Kick-Out Plan 5 - BNP version |
16/11/2020 |
16/11/2023 |
|
Matured |
|
29/10/2025 |
8 Year Def Kickout |
13.50% |
6,421.29 |
UKX |
| XS1804799614 |
FTSE 100 8 Year Kick-Out Plan 5 - BNP version |
16/11/2020 |
16/11/2022 |
|
Matured |
|
29/10/2025 |
8 Year Kickout |
12.70% |
6,421.29 |
UKX |
| XS1804792445 |
FTSE 100 Enhanced Kick-Out Plan 96 - BNP version |
16/11/2020 |
16/11/2021 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
6.85% |
6,421.29 |
UKX |
| XS1787666194 |
FTSE 100 Step Down Kick-Out Plan 39 - BNP version |
16/11/2020 |
16/11/2022 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
9.00% |
6,421.29 |
UKX |
| XS2191295562 |
FTSE 100 Enhanced Kick-Out Plan 97 - BNP version |
11/01/2021 |
11/01/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
7.60% |
6,798.48 |
UKX |
| XS2191294086 |
FTSE 100 Step Down Kick-Out Plan 40 - BNP version |
11/01/2021 |
11/01/2023 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
9.60% |
6,798.48 |
UKX |
| DD3102000000 |
FTSE 100 3 Year Defensive Deposit Plan 25 |
11/01/2021 |
11/01/2024 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
4.05% |
6,798.48 |
UKX |
| DP3102000000 |
FTSE 100 3 Year Deposit Plan 61 |
11/01/2021 |
11/01/2024 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
5.40% |
6,798.48 |
UKX |
| DDP610200000 |
FTSE 100 6 Year Defensive Deposit Plan 33 (Min Return version) |
11/01/2021 |
11/01/2027 |
104.24% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
6,798.48 |
UKX |
| DP6102000000 |
FTSE 100 6 Year Deposit Plan 23 |
11/01/2021 |
11/01/2027 |
110.42% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
6,798.48 |
UKX |
| DKD102000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 23 |
11/01/2021 |
11/01/2024 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
5.25% |
6,798.48 |
UKX |
| IDPM10200000 |
FTSE 100 Income Deposit Plan 39 - Monthly |
11/01/2021 |
11/01/2027 |
95.01% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
6,798.48 |
UKX |
| KD1020000000 |
FTSE 100 Kick-Out Deposit Plan 97 |
11/01/2021 |
11/01/2024 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
6.75% |
6,798.48 |
UKX |
| FG4102000000 |
FTSE4Good 6 Year Deposit Plan 3 |
11/01/2021 |
11/01/2027 |
108.25% |
Live |
Download |
29/10/2025 |
F4G 6 Year Deposit |
|
5,815.20 |
4UK5X |
| XS2191296024 |
FTSE 100 8 Year Kick-Out Plan 6 - BNP version |
11/01/2021 |
11/01/2023 |
|
Matured |
|
29/10/2025 |
8 Year Kickout |
13.60% |
6,798.48 |
UKX |
| XS2221229375 |
FTSE 100 8 Year Kick-Out Plan 7 - BNP version |
22/02/2021 |
22/02/2023 |
|
Matured |
|
29/10/2025 |
8 Year Kickout |
12.30% |
6,612.24 |
UKX |
| XS2221229458 |
FTSE 100 Enhanced Kick-Out Plan 98 - BNP version |
22/02/2021 |
22/02/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
6.45% |
6,612.24 |
UKX |
| XS2221229706 |
FTSE 100 Step Down Kick-Out Plan 41 - BNP version |
22/02/2021 |
22/02/2023 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
9.00% |
6,612.24 |
UKX |
| DD3103000000 |
FTSE 100 3 Year Defensive Deposit Plan 26 |
22/02/2021 |
22/02/2024 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
3.75% |
6,612.24 |
UKX |
| DP3103000000 |
FTSE 100 3 Year Deposit Plan 62 |
22/02/2021 |
22/02/2024 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
5.10% |
6,612.24 |
UKX |
| DDP610300000 |
FTSE 100 6 Year Defensive Deposit Plan 34 (Min Return version) |
22/02/2021 |
22/02/2027 |
103.83% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
6,612.24 |
UKX |
| DP6103000000 |
FTSE 100 6 Year Deposit Plan 24 |
22/02/2021 |
22/02/2027 |
109.79% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
6,612.24 |
UKX |
| DKD103000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 24 |
22/02/2021 |
22/02/2024 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
4.95% |
6,612.24 |
UKX |
| IDPM10300000 |
FTSE 100 Income Deposit Plan 40 - Monthly |
22/02/2021 |
22/02/2027 |
94.91% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
6,612.24 |
UKX |
| KD1030000000 |
FTSE 100 Kick-Out Deposit Plan 98 |
22/02/2021 |
22/02/2024 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
6.75% |
6,612.24 |
UKX |
| FG4103000000 |
FTSE4Good 6 Year Deposit Plan 4 |
22/02/2021 |
22/02/2027 |
107.21% |
Live |
Download |
29/10/2025 |
F4G 6 Year Deposit |
|
5,638.00 |
4UK5X |
| DD3104000000 |
FTSE 100 3 Year Defensive Deposit Plan 27 |
12/04/2021 |
12/04/2024 |
|
Matured |
|
29/10/2025 |
3 Year Defensive Deposit |
3.50% |
6,889.12 |
UKX |
| DP3104000000 |
FTSE 100 3 Year Deposit Plan 63 |
12/04/2021 |
12/04/2024 |
|
Matured |
|
29/10/2025 |
3 Year Deposit |
4.50% |
6,889.12 |
UKX |
| DDP610400000 |
FTSE 100 6 Year Defensive Deposit Plan 35 (Min Return Version) |
12/04/2021 |
12/04/2027 |
103.47% |
Live |
Download |
29/10/2025 |
6 Year Defensive Deposit |
|
6,889.12 |
UKX |
| DP6104000000 |
FTSE 100 6 Year Deposit Plan 25 |
12/04/2021 |
12/04/2027 |
110.10% |
Live |
Download |
29/10/2025 |
6 Year Deposit |
|
6,889.12 |
UKX |
| DKD104000000 |
FTSE 100 Defensive Kick-Out Deposit Plan 25 |
12/04/2021 |
12/04/2024 |
|
Matured |
|
29/10/2025 |
Defensive Kickout Deposit |
5.25% |
6,889.12 |
UKX |
| IDPM10400000 |
FTSE 100 Income Deposit Plan 41 - Monthly |
12/04/2021 |
12/04/2027 |
94.67% |
Live |
Download |
29/10/2025 |
Income Deposit |
|
6,889.12 |
UKX |
| KD1040000000 |
FTSE 100 Kick-Out Deposit Plan 99 |
12/04/2021 |
12/04/2024 |
|
Matured |
|
29/10/2025 |
Kickout Deposit |
7.50% |
6,889.12 |
UKX |
| XS2237220673 |
FTSE 100 8 Year Kick-Out Plan 8 - BNP version |
12/04/2021 |
12/04/2023 |
|
Matured |
|
29/10/2025 |
8 Year Kickout |
14.90% |
6,889.12 |
UKX |
| XS2237220327 |
FTSE 100 Enhanced Kick-Out Plan 99 - BNP version |
12/04/2021 |
12/04/2022 |
|
Matured |
|
29/10/2025 |
Enhanced Kickout |
8.10% |
6,889.12 |
UKX |
| XS2237219584 |
FTSE 100 Step Down Kick-Out Plan 42 - BNP version |
12/04/2021 |
12/04/2023 |
|
Matured |
|
29/10/2025 |
Step Down Kickout |
10.86% |
6,889.12 |
UKX |