GB00B4K5S754 |
FTSE Bonus Income16 Yly ISA |
01/08/2011 |
08/08/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
33.25% |
5,774.43 |
UKX |
GB00B62V9D84 |
FTSE Enhanced Kickout 24 INV |
07/12/2011 |
07/12/2012 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
12.50% |
5,546.91 |
UKX |
GB00B7MKSD55 |
Geared Returns 32 COL |
02/05/2012 |
09/05/2017 |
|
Matured |
|
09/09/2024 |
Geared Returns |
67.50% |
5,758.11 |
UKX |
GB00B4L7RN90 |
FTSE Enhanced Kickout 21 INV |
01/08/2011 |
01/08/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
21.50% |
5,774.43 |
UKX |
DGP04L36000I |
FTSE Dep Growth Plan 19 Op1 |
15/10/2012 |
16/10/2017 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
27.44% |
5,805.61 |
UKX |
GB00B894XF45 |
FTSE Enhanced Kickout 32 INV |
26/11/2012 |
26/11/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
13.00% |
5,786.72 |
UKX |
GB00B3CSW280 |
Geared Returns Plan 3 |
20/10/2008 |
28/10/2013 |
|
Matured |
|
09/09/2024 |
Geared Returns |
80.00% |
4,282.67 |
UKX |
CGA0000000P7 |
FTSE 100 Income Deposit Plan 7 Yly |
15/02/2010 |
16/02/2015 |
|
Matured |
|
09/09/2024 |
Income Deposit |
25.00% |
5,167.47 |
UKX |
ROF5Y00000P2 |
FTSE RollOver Dep2 INV Yly |
04/01/2010 |
05/01/2015 |
|
Matured |
|
09/09/2024 |
Rollover Income |
33.75% |
5,500.34 |
UKX |
GB00B58X8D48 |
FTSE Bonus Income10 Mth Non |
19/10/2010 |
26/10/2015 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
19.00% |
5,892.75 |
UKX |
CGA3F00000P2 |
3yr Gtd FTSE 100 Inc 2 Yly |
19/10/2009 |
19/10/2012 |
|
Matured |
|
09/09/2024 |
Income Deposit |
14.25% |
5,281.54 |
UKX |
GB00B5T9GW66 |
FTSE 100 Geared Returns Plan 18 |
27/07/2010 |
03/08/2015 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
31.50% |
5,528.27 |
UKX |
GB00B3LP7693 |
FTSE Enhanced Kickout 26 INV |
12/03/2012 |
12/03/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
13.50% |
5,892.75 |
UKX |
GKO5Y000P122 |
FTSE 100 KO Deposit 12 Op2 |
15/06/2010 |
17/06/2013 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
18.00% |
5,217.82 |
UKX |
GB00B3LB4R73 |
FTSE Bonus Income15 Yly |
20/06/2011 |
27/06/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
33.25% |
5,693.39 |
UKX |
GB00B7091N53 |
Geared Returns 29 INV |
07/12/2011 |
14/12/2016 |
|
Matured |
|
09/09/2024 |
Geared Returns |
75.00% |
5,546.91 |
UKX |
CGQ0000000P2 |
Cap Gtd FTSE 100 Inc 2 Qly |
27/07/2009 |
28/07/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Gilt Backed Growth |
21.89% |
6,069.36 |
UKX |
GB00B6717S47 |
FTSE Enhanced Kickout 5 |
07/09/2009 |
07/09/2010 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
15.00% |
4,933.18 |
UKX |
CGA0000P9OP1 |
FTSE 100 Income Deposit Plan 9 opt1 Yly |
05/05/2010 |
05/05/2015 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Income Deposit |
21.60% |
5,217.82 |
UKX |
GB00B8FCCF59 |
FTSE Bonus Income 25 Mth ISA COL |
03/09/2012 |
11/09/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
31.80% |
5,758.41 |
UKX |
DGP04L26000R |
FTSE Dep Growth Plan 9 Op2 |
01/08/2011 |
01/08/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
39.09% |
1,619.78 |
EVEN30 |
GB00B703RJ57 |
FTSE Bonus Income19 Yly COL |
07/12/2011 |
14/12/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.50% |
5,546.91 |
UKX |
GB00B5NF5C30 |
FTSE 100 Defensive Kick-Out Plan 1 |
06/06/2012 |
06/06/2014 |
|
Matured |
|
09/09/2024 |
Defensive Kickout |
17.00% |
5,384.11 |
UKX |
GB00B5NL9X05 |
Geared Returns 27 INV |
14/09/2011 |
21/09/2016 |
|
Matured |
|
09/09/2024 |
Geared Returns |
67.50% |
5,227.02 |
UKX |
GKO5Y2000P24 |
FTSE 100 KO Deposit 24 Op2 |
07/12/2011 |
09/12/2013 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
11.50% |
5,546.91 |
UKX |
GB00B8FN2921 |
FTSE Bonus Income 25 Mth ISA |
03/09/2012 |
11/09/2017 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
Bonus Income |
35.00% |
5,217.82 |
UKX |
DGP04L27000I |
FTSE Dep Growth Plan 10 Op1 |
14/09/2011 |
14/09/2016 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
Income Deposit |
22.50% |
5,407.82 |
UKX |
GB00B5173B60 |
FTSE Bonus Income13 Yly ISA |
28/02/2011 |
07/03/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
35.75% |
5,994.01 |
UKX |
GB00B3YYQW25 |
FTSE Enhanced Kickout 19 INV |
26/04/2011 |
26/04/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
22.00% |
6,069.36 |
UKX |
GB00B6Z0XK71 |
FTSE Bonus Income18 Mth ISA |
26/10/2011 |
02/11/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
31.08% |
5,553.24 |
UKX |
G5YF0000P8O1 |
Gtd 5yr FTSE 8 op1 (dep) |
15/06/2009 |
16/06/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
32.50% |
5,703.89 |
UKX |
GB00B4PXSG32 |
FTSE Bonus Income11 Mth Non |
30/11/2010 |
08/12/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
33.44% |
5,528.27 |
UKX |
GB00B4ZTVN99 |
FTSE Bonus Income13 Mth ISA |
28/02/2011 |
07/03/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
33.92% |
5,994.01 |
UKX |
GB00B6Z0XW93 |
FTSE 100 Gilt Backed Growth Plan 27 |
26/10/2011 |
26/10/2018 |
|
Matured |
|
09/09/2024 |
Gilt Backed Growth |
34.28% |
5,553.24 |
UKX |
GB00B7YH0F07 |
FTSE Bonus Income 23 Yly COL |
11/06/2012 |
19/06/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
34.00% |
5,432.37 |
UKX |
GB00B3XYRX16 |
FTSE RPI Plan 7 Non ISA |
15/06/2009 |
23/06/2014 |
|
Matured |
|
09/09/2024 |
RPI Plan |
44.72% |
4,326.01 |
UKX |
GB00B4Q44Z60 |
FTSE 100 Accelerated Growth Plan 21 |
30/11/2010 |
08/12/2015 |
|
Matured |
|
09/09/2024 |
Accelerated Growth |
32.01% |
5,528.27 |
UKX |
DGP04L27000R |
FTSE Dep Growth Plan 10 Op2 |
14/09/2011 |
14/09/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
48.91% |
1,556.33 |
EVEN30 |
GB00B78S0043 |
Accelerated Growth Plan 30 |
31/01/2012 |
07/02/2017 |
|
Matured |
|
09/09/2024 |
Accelerated Growth |
44.65% |
5,681.61 |
UKX |
GB00B6XCZV03 |
FTSE Enhanced Kickout 29 COL 0% Commission |
23/07/2012 |
23/07/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
13.50% |
5,533.87 |
UKX |
GKO5Y000P151 |
FTSE 100 KO Deposit 15 Op1 |
19/10/2010 |
19/10/2012 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
Plus Income Deposit |
23.40% |
5,341.93 |
UKX |
GKO5Y000P3O1 |
Gtd 5yr FTSE KO Plan3 Opt1 |
15/06/2009 |
15/06/2010 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
7.25% |
4,326.01 |
UKX |
ROF5Y0000P3I |
FTSE RollOver Dep3 INV Yly |
15/02/2010 |
16/02/2015 |
|
Matured |
|
09/09/2024 |
Rollover Income |
31.25% |
5,167.47 |
UKX |
GB00B51MVC80 |
FTSE Enhanced Kickout 9 INV |
15/02/2010 |
15/02/2011 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
11.00% |
5,167.47 |
UKX |
GB00B5MQXX43 |
FTSE Bonus Income 20 Mth ISA |
31/01/2012 |
07/02/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
34.68% |
5,681.61 |
UKX |
GB00B8FD4B86 |
FTSE Bonus Income 25 Mth COL |
03/09/2012 |
11/09/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
31.80% |
5,758.41 |
UKX |
GB00B55T2L14 |
FTSE 100 Prot 5yr Plan 6 |
05/05/2009 |
12/05/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
24.00% |
5,528.27 |
UKX |
GB00B7YH1796 |
FTSE Bonus Income 23 Mth |
11/06/2012 |
19/06/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.20% |
5,432.37 |
UKX |
DGP04L25000R |
FTSE Dep Growth Plan 8 Op2 |
20/06/2011 |
20/06/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
37.39% |
1,627.54 |
EVEN30 |
GB00B88DM333 |
FTSE Enhanced Kickout 32 COL 0% Commission |
26/11/2012 |
26/11/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
30.00% |
5,341.93 |
UKX |
GB00B8FZGZ21 |
FTSE 100 Defensive Kick-Out Plan 5 |
26/11/2012 |
26/11/2014 |
|
Matured |
|
09/09/2024 |
Defensive Kickout |
14.00% |
5,786.72 |
UKX |
GB00B46N4F38 |
FTSE 100 Protected Growth Plan 10 |
19/10/2009 |
27/10/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
26.00% |
5,190.68 |
UKX |
ROF5Y000P04I |
FTSE RollOver Dep4 INV Yly |
22/03/2010 |
23/03/2015 |
|
Matured |
|
09/09/2024 |
Rollover Income |
33.50% |
5,644.54 |
UKX |
G3YF000P1802 |
FTSE 3yr Dep 18 Opt 2 INV |
27/07/2010 |
29/07/2013 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
12.00% |
5,365.67 |
UKX |
GB00B42Q6839 |
FTSE 100 Geared Returns Plan19 |
07/09/2010 |
14/09/2015 |
|
Matured |
|
09/09/2024 |
Geared Returns |
75.00% |
5,407.82 |
UKX |
GKO5Y000P152 |
FTSE 100 KO Deposit 15 Op2 |
19/10/2010 |
19/10/2012 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
Income Deposit |
32.00% |
4,933.18 |
UKX |
G3YF000P12O1 |
Gtd 3yr FTSE 12 op1 INVEST |
30/11/2009 |
30/11/2012 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
32.50% |
5,407.82 |
UKX |
GKO5Y1000P21 |
FTSE 100 KO Deposit 21 Op 1 |
01/08/2011 |
01/08/2013 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
10.00% |
5,774.43 |
UKX |
GKO5Y2000P22 |
FTSE 100 KO Deposit 22 Op 2 |
14/09/2011 |
15/09/2014 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
15.00% |
5,227.02 |
UKX |
GB00B603QQ84 |
FTSE Bonus Income5 Mth Non |
22/03/2010 |
30/03/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.17% |
5,644.54 |
UKX |
GB00B619TZ58 |
FTSE 100 Protected Growth Plan 14 |
22/03/2010 |
30/03/2015 |
|
Matured |
|
09/09/2024 |
Protected Growth |
17.91% |
5,644.54 |
UKX |
GKO5Y000P131 |
FTSE 100 KO Deposit 13 Op1 |
27/07/2010 |
27/07/2012 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
10.50% |
5,365.67 |
UKX |
GKO5Y0000P18 |
FTSE 100 KO Deposit 18 Op1 |
28/02/2011 |
28/02/2013 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
9.50% |
5,994.01 |
UKX |
GB00B41ZZW80 |
Geared Returns 24 COL |
26/04/2011 |
03/05/2016 |
|
Matured |
|
09/09/2024 |
Geared Returns |
62.50% |
6,069.36 |
UKX |
GB00B57F8T72 |
Geared Returns 27 COL |
14/09/2011 |
21/09/2016 |
|
Matured |
|
09/09/2024 |
Geared Returns |
62.50% |
5,227.02 |
UKX |
GB00B70DV829 |
FTSE Bonus Income19 Yly COL ISA |
07/12/2011 |
14/12/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.50% |
5,546.91 |
UKX |
GB00B7H34Q46 |
FTSE Bonus Income 27 Mth ISA COL |
26/11/2012 |
04/12/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
30.60% |
5,786.72 |
UKX |
GB00B4TF5K89 |
5yr FTSE Bonus Income2 Yly |
30/11/2009 |
08/12/2014 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.50% |
5,190.68 |
UKX |
G3YF0000P9O2 |
Gtd 3yr FTSE 9 op2 (dep) |
27/07/2009 |
27/07/2012 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
27.50% |
5,500.34 |
UKX |
GB00B53V0V56 |
FTSE Bonus Income4 Mth Non |
15/02/2010 |
23/02/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
35.92% |
5,167.47 |
UKX |
CGA0000P9OP2 |
FTSE 100 Income Deposit Plan 9 opt2 Yly |
05/05/2010 |
05/05/2015 |
|
Matured |
|
09/09/2024 |
Income Deposit |
24.54% |
5,341.93 |
UKX |
DGP01L180001 |
FTSE 100 Deposit Growth Plan 1 - Investec version |
27/07/2010 |
27/07/2015 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
27.94% |
5,365.67 |
UKX |
GB00B663DJ44 |
FTSE Bonus Income15 Yly ISA |
20/06/2011 |
27/06/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
33.25% |
5,693.39 |
UKX |
GB00B55CXQ23 |
FTSE Enhanced Kickout 18 INV |
28/02/2011 |
28/02/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
37.50% |
5,217.82 |
UKX |
GB00B4Q1RC56 |
FTSE Enhanced Kickout 21 COL |
01/08/2011 |
01/08/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
19.50% |
5,774.43 |
UKX |
DGP04L37000I |
FTSE Dep Growth Plan 20 Op1 |
26/11/2012 |
27/11/2017 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
28.42% |
5,786.72 |
UKX |
GKO5Y000P142 |
FTSE 100 KO Deposit 14 Op2 |
07/09/2010 |
09/09/2013 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
18.00% |
5,407.82 |
UKX |
CGQ0000000P1 |
Cap Gtd FTSE 100 Inc 1 Qly |
15/06/2009 |
16/06/2014 |
|
Matured |
|
09/09/2024 |
Income Deposit |
29.40% |
4,326.01 |
UKX |
CGPIMF5YP04I |
FTSE 100 Plus Income Deposit Plan 4 - Monthly |
22/03/2010 |
23/03/2015 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
27.50% |
5,407.82 |
UKX |
GB00B74YQ645 |
FTSE Bonus Income 22 Mth ISA |
02/05/2012 |
09/05/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.08% |
5,758.11 |
UKX |
GB00B3BPBG79 |
FTSE 100 Prot 5yr Plan 1 |
08/09/2008 |
16/09/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
27.50% |
5,644.54 |
UKX |
GB00B6Z0XM95 |
FTSE Bonus Income18 Yly COL |
26/10/2011 |
02/11/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
28.75% |
5,553.24 |
UKX |
GB00B7N1DR63 |
FTSE 100 6yr Kickout Plan 1 INV |
02/05/2012 |
02/05/2013 |
|
Matured |
|
09/09/2024 |
6 Year Kickout |
11.00% |
5,758.11 |
UKX |
GB00B7QD7F54 |
FTSE 100 Defensive Returns Plan 2 |
23/07/2012 |
23/07/2018 |
|
Matured |
|
09/09/2024 |
Defensive Returns |
34.53% |
5,533.87 |
UKX |
G3YF000P23O1 |
FTSE 3yr Dep 23 opt 1 INV |
28/02/2011 |
28/02/2014 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
14.00% |
5,994.01 |
UKX |
DGP04L23000I |
FTSE Dep Growth Plan Op1 INV |
28/02/2011 |
29/02/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
2.11% |
5,994.01 |
UKX |
GKO5Y2001P31 |
FTSE 100 KO Deposit 31 |
15/10/2012 |
15/10/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Income Deposit |
18.73% |
4,933.18 |
UKX |
GB00B50WLB82 |
FTSE 100 Geared Returns Plan14 - Investec version |
15/02/2010 |
23/02/2015 |
|
Matured |
|
09/09/2024 |
Geared Returns |
70.00% |
5,167.47 |
UKX |
DGP04L22000R |
FTSE Dep Growth Plan 5 RBS |
17/01/2011 |
18/01/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
5.02% |
5,985.70 |
UKX |
GB00B733M535 |
Geared Returns 33 INV |
11/06/2012 |
19/06/2017 |
|
Matured |
|
09/09/2024 |
Geared Returns |
80.00% |
5,432.37 |
UKX |
GKO5Y000P2O1 |
Gtd 5yr FTSE KO Plan2 Opt1 |
05/05/2009 |
05/05/2010 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
7.25% |
4,336.94 |
UKX |
GB00B46N9L43 |
FTSE Bonus Income9 Mth ISA |
07/09/2010 |
14/09/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.40% |
5,407.82 |
UKX |
CGM3V00000P1 |
3yr Gtd FTSE Inc 1 Op2 Mth |
07/09/2009 |
07/09/2012 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
27.50% |
5,703.89 |
UKX |
GB00B52X3024 |
FTSE Bonus Income19 Yly ISA |
07/12/2011 |
14/12/2016 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
50.00% |
4,933.18 |
UKX |
GB00B603QB32 |
FTSE Bonus Income5 Yly Non |
22/03/2010 |
30/03/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
40.00% |
5,644.54 |
UKX |
GB00B41N4C57 |
Geared Returns 26 INV |
01/08/2011 |
08/08/2016 |
|
Matured |
|
09/09/2024 |
Geared Returns |
67.50% |
5,774.43 |
UKX |
GB00B4MKZ337 |
FTSE Bonus Income17 Mth COL |
14/09/2011 |
21/09/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
30.00% |
5,227.02 |
UKX |
G5YF00P28O1L |
FTSE 5yr Dep 28 op1 |
26/10/2011 |
26/10/2016 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
26.00% |
5,553.24 |
UKX |
GB00B3ZJPF25 |
FTSE Bonus Income 24 Yly |
23/07/2012 |
31/07/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
38.75% |
5,533.87 |
UKX |
G5YF0000P2O2 |
Gtd 5yr FTSE 2 op2 (dep) |
08/09/2008 |
09/09/2013 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
18.79% |
5,446.30 |
UKX |
GB00B63KNC13 |
FTSE Bonus Income6 Mth Non |
05/05/2010 |
12/05/2015 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Bonus Income |
33.48% |
5,217.82 |
UKX |
GB00B55T2P51 |
FTSE Enhanced Kickout 2 |
05/05/2009 |
05/05/2010 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
15.00% |
4,336.94 |
UKX |
G5YF00P22O2R |
FTSE 5yr Dep 22 op2 RBS |
17/01/2011 |
18/01/2016 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
20.00% |
5,985.70 |
UKX |
GB00B634W609 |
FTSE Bonus Income15 Mth COL |
20/06/2011 |
27/06/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
30.88% |
5,693.39 |
UKX |
CGM0000000P6 |
FTSE 100 Income Deposit Plan 6 Mth |
04/01/2010 |
05/01/2015 |
|
Matured |
|
09/09/2024 |
Income Deposit |
25.20% |
5,500.34 |
UKX |
CGA0000000P6 |
FTSE 100 Income Deposit Plan 6 Yly |
04/01/2010 |
05/01/2015 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
26.00% |
5,217.82 |
UKX |
GB00B3XZ0916 |
FTSE Bonus Income9 Yly ISA |
07/09/2010 |
14/09/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
33.75% |
5,407.82 |
UKX |
GB00B5TMCL64 |
FTSE Bonus Income12 Mth Non |
17/01/2011 |
25/01/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.68% |
5,985.70 |
UKX |
GB00B8FM8Y60 |
FTSE Bonus Income 25 Yly ISA |
03/09/2012 |
11/09/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
38.75% |
5,758.41 |
UKX |
GB00B7W1WN65 |
Accelerated Growth Plan 37 |
26/11/2012 |
04/12/2017 |
|
Matured |
|
09/09/2024 |
Accelerated Growth |
76.46% |
5,786.72 |
UKX |
CGPIMF5Y0P3I |
FTSE 100 Plus Income Deposit Plan 3 - Monthly |
15/02/2010 |
16/02/2015 |
|
Matured |
|
09/09/2024 |
Plus Income Deposit |
33.60% |
5,167.47 |
UKX |
GB00B64BTQ94 |
FTSE Bonus Income6 Yly ISA |
05/05/2010 |
12/05/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.50% |
5,341.93 |
UKX |
DGP04L25000I |
FTSE Dep Growth Plan 8 Op1 |
20/06/2011 |
20/06/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
7.01% |
5,693.39 |
UKX |
GB00B6Z0XS57 |
Geared Returns 28 COL |
26/10/2011 |
02/11/2016 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
17.25% |
5,432.37 |
UKX |
GB00B8FLD485 |
FTSE Enhanced Kickout 30 INV 0% Commission |
03/09/2012 |
03/09/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
16.20% |
5,758.41 |
UKX |
GB00B89BXM28 |
FTSE Enhanced Kickout 32 INV 0% Commission |
26/11/2012 |
26/11/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
16.00% |
5,786.72 |
UKX |
GB00B3DHH290 |
FTSE 100 Prot 5yr Plan 3 |
01/12/2008 |
09/12/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
16.00% |
5,681.61 |
UKX |
GB00B3KVF530 |
FTSE RPI Plan 5 Non ISA |
09/03/2009 |
17/03/2014 |
|
Matured |
|
09/09/2024 |
RPI Plan |
42.24% |
3,542.40 |
UKX |
GB00B3XYR318 |
Accelerated Growth Plan 8 |
15/06/2009 |
23/06/2014 |
|
Matured |
|
09/09/2024 |
Accelerated Growth |
88.49% |
4,326.01 |
UKX |
CGM3F00000P2 |
3yr Gtd FTSE 100 Inc 2 Mth |
19/10/2009 |
19/10/2012 |
|
Matured |
|
09/09/2024 |
Income Deposit |
13.68% |
5,281.54 |
UKX |
GB00B4W3WW02 |
FTSE 100 Accelerated Growth Plan 12 |
30/11/2009 |
08/12/2014 |
|
Matured |
|
09/09/2024 |
Accelerated Growth |
51.70% |
5,190.68 |
UKX |
GB00B59ZVW91 |
FTSE 100 Geared Returns Plan 20 |
19/10/2010 |
26/10/2015 |
|
Matured |
|
09/09/2024 |
Geared Returns |
70.00% |
5,703.89 |
UKX |
GB00B4JN5V32 |
FTSE Enhanced Kickout 16 INV |
30/11/2010 |
30/11/2012 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
22.50% |
5,528.27 |
UKX |
GB00B5LLPZ62 |
FTSE Enhanced Kickout 27 COL |
02/05/2012 |
02/05/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
11.00% |
5,758.11 |
UKX |
G3YF000P25O2 |
FTSE 3yr Dep 25 opt 2 |
20/06/2011 |
20/06/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Geared Returns |
57.50% |
5,341.93 |
UKX |
DGP01L20000R |
FTSE 100 Deposit Growth Plan 3 - RBS version |
19/10/2010 |
19/10/2015 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
15.63% |
5,703.89 |
UKX |
GB00B7GKBF43 |
FTSE 100 6yr Kickout Plan 3 COL |
23/07/2012 |
23/07/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Income Deposit |
16.21% |
4,933.18 |
UKX |
G5YF00P24O2R |
FTSE 5yr Dep 24 op2 RBS |
26/04/2011 |
26/04/2016 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
27.50% |
6,069.36 |
UKX |
GKO5Y1000P25 |
FTSE 100 KO Deposit 25 Op1 |
31/01/2012 |
31/01/2013 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
6.00% |
5,681.61 |
UKX |
G3YF000P1901 |
FTSE 3yr Dep 19 Opt 1 INV |
07/09/2010 |
09/09/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Gilt Backed Growth |
29.21% |
5,774.43 |
UKX |
GB00B43GXS14 |
FTSE Enhanced Kickout 16 SAN |
30/11/2010 |
30/11/2012 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
19.00% |
5,528.27 |
UKX |
GB00B4MF1415 |
Geared Returns 24 INV |
26/04/2011 |
03/05/2016 |
|
Matured |
|
09/09/2024 |
Geared Returns |
70.00% |
6,069.36 |
UKX |
GKO5Y000P2O2 |
Gtd 5yr FTSE KO Plan2 Opt2 |
05/05/2009 |
05/05/2010 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
10.00% |
4,336.94 |
UKX |
CGM0000000P8 |
FTSE 100 Income Deposit Plan 8 Mth |
22/03/2010 |
23/03/2015 |
|
Matured |
|
09/09/2024 |
Income Deposit |
25.80% |
5,644.54 |
UKX |
GKO5Y000P141 |
FTSE 100 KO Deposit 14 Op1 |
07/09/2010 |
07/09/2012 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
10.50% |
5,407.82 |
UKX |
CGM000P11OP1 |
FTSE 100 Income Deposit Plan 11 Op1 Mth |
27/07/2010 |
27/07/2015 |
|
Matured |
|
09/09/2024 |
Income Deposit |
22.20% |
5,365.67 |
UKX |
GB00B5LHXH29 |
FTSE 100 Protected Growth Plan 17 |
27/07/2010 |
03/08/2015 |
|
Matured |
|
09/09/2024 |
Protected Growth |
27.79% |
5,365.67 |
UKX |
CGA000P17OP1 |
FTSE Income Dep 17 Op1 Yly |
26/04/2011 |
26/04/2016 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
15.00% |
5,774.43 |
UKX |
DGP04L26000I |
FTSE Dep Growth Plan 9 Op1 |
01/08/2011 |
01/08/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
7.66% |
5,774.43 |
UKX |
GB00B3DHHC91 |
FTSE RPI Plan 3 ISA |
01/12/2008 |
09/12/2013 |
|
Matured |
|
09/09/2024 |
RPI Plan |
37.91% |
4,065.49 |
UKX |
G3YF000P22O2 |
FTSE 3yr Dep 22 opt 2 INV |
17/01/2011 |
17/01/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
17.00% |
5,533.87 |
UKX |
DGP04L34000R |
FTSE Dep Growth Plan 17 Op2 |
23/07/2012 |
24/07/2017 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
49.67% |
1,711.21 |
EVEN30 |
GB00B6Z0XH43 |
FTSE Bonus Income18 Yly |
26/10/2011 |
02/11/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.50% |
5,553.24 |
UKX |
GB00B3KVFG43 |
FTSE Enhanced Kickout 1 |
09/03/2009 |
09/03/2010 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
11.00% |
5,227.02 |
UKX |
CGA3FP00000P1 |
FTSE Plus Inc1 3yr INV Yly |
30/11/2009 |
30/11/2012 |
|
Matured |
|
09/09/2024 |
Plus Income Deposit |
15.15% |
5,190.68 |
UKX |
DGP04L28000R |
FTSE Dep Growth Plan 11 Op2 |
26/10/2011 |
26/10/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
41.37% |
1,638.17 |
EVEN30 |
GB00B67FPD70 |
FTSE RPI Plan 9 ISA |
07/09/2009 |
15/09/2014 |
|
Matured |
|
09/09/2024 |
RPI Plan |
44.72% |
4,933.18 |
UKX |
GB00B55T2N38 |
FTSE RPI Plan 6 ISA |
05/05/2009 |
12/05/2014 |
|
Matured |
|
09/09/2024 |
RPI Plan |
44.66% |
4,336.94 |
UKX |
GB00B3XYS837 |
FTSE Enhanced Kickout 3 |
15/06/2009 |
15/06/2010 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
15.00% |
4,326.01 |
UKX |
GB00B78QS937 |
FTSE Bonus Income 20 Yly |
31/01/2012 |
07/02/2017 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Plus Income Deposit |
35.00% |
5,190.68 |
UKX |
GKO5Y2001P37 |
FTSE 100 KO Deposit 32 |
26/11/2012 |
26/11/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
31.00% |
5,190.68 |
UKX |
GB00B6Z0XN03 |
FTSE Bonus Income18 Mth COL |
26/10/2011 |
02/11/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
29.88% |
5,553.24 |
UKX |
G5YF00P22O1R |
FTSE 5yr Dep 22 op1 RBS |
17/01/2011 |
18/01/2016 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
14.25% |
5,432.37 |
UKX |
CGPIAF3YP10L |
FTSE Plus Inc1 3yr LLO Yly |
30/11/2009 |
30/11/2012 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Deposit Growth |
15.63% |
5,703.89 |
UKX |
G5YF00P23O1R |
FTSE 5yr Dep 23 op1 RBS |
28/02/2011 |
29/02/2016 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
27.50% |
5,994.01 |
UKX |
G5YF0000P5O1 |
Gtd 5yr FTSE 5 op1 (dep) |
26/01/2009 |
27/01/2014 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
50.00% |
4,209.01 |
UKX |
GB00B6Q6W632 |
Geared Returns 32 INV |
02/05/2012 |
09/05/2017 |
|
Matured |
|
09/09/2024 |
Geared Returns |
76.00% |
5,758.11 |
UKX |
GB00B55T2J91 |
Geared Returns Plan 7 |
05/05/2009 |
12/05/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Gilt Backed Growth |
32.33% |
1,652.87 |
EVEN30 |
GB00B703R396 |
FTSE Bonus Income19 Mth ISA |
07/12/2011 |
14/12/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.36% |
5,546.91 |
UKX |
G5YF0000P5O2 |
Gtd 5yr FTSE 5 op2 (dep) |
26/01/2009 |
27/01/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
14.00% |
5,227.02 |
UKX |
GKO5Y1000P24 |
FTSE 100 KO Deposit 24 Op1 |
07/12/2011 |
07/12/2012 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
5.50% |
5,546.91 |
UKX |
GKO5Y000P801 |
FTSE 100 Kickout Deposit 8 |
04/01/2010 |
04/01/2012 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Plus Income Deposit |
25.50% |
5,500.34 |
UKX |
GB00B8FJGJ88 |
FTSE Enhanced Kickout 30 INV |
03/09/2012 |
03/09/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
13.00% |
5,758.41 |
UKX |
GB00B67FNC24 |
FTSE 100 Protected Growth Plan 9 |
07/09/2009 |
15/09/2014 |
|
Matured |
|
09/09/2024 |
Protected Growth |
36.68% |
4,933.18 |
UKX |
CGA000P16OP1 |
FTSE Income Dep 16 Op1 Yly |
28/02/2011 |
29/02/2016 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
16.00% |
5,758.41 |
UKX |
XS0468101711 |
FTSE Enhanced Kickout 8 MS |
04/01/2010 |
04/01/2011 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
9.00% |
5,500.34 |
UKX |
GB00B5VS7514 |
FTSE 100 Growth Plan 21 |
17/01/2011 |
25/01/2016 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Gilt Backed Growth |
39.69% |
1,556.33 |
EVEN30 |
GB00B4Z1NG24 |
FTSE RPI Plan 8 ISA |
27/07/2009 |
04/08/2014 |
|
Matured |
|
09/09/2024 |
RPI Plan |
44.63% |
4,586.13 |
UKX |
GB00B3Y9CF25 |
FTSE Bonus Income 21 Mth COL |
12/03/2012 |
20/03/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.08% |
5,892.75 |
UKX |
GB00B707XT95 |
FTSE Enhanced Kickout 31 INV |
15/10/2012 |
15/10/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
13.00% |
5,805.61 |
UKX |
G3YF000P37O1 |
FTSE 100 3 Year Deposit Plan 37 |
26/11/2012 |
26/11/2015 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
15.00% |
5,786.72 |
UKX |
GB00B78RVQ47 |
FTSE Enhanced Kickout 25 COL |
31/01/2012 |
31/01/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
11.00% |
5,681.61 |
UKX |
GB00B6Z0XJ66 |
FTSE Bonus Income18 Mth |
26/10/2011 |
02/11/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
31.08% |
5,553.24 |
UKX |
GB00B7NCHT91 |
FTSE Enhanced Kickout 29 INV 0% Commission |
23/07/2012 |
23/07/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
16.20% |
5,533.87 |
UKX |
GKO5Y000P132 |
FTSE 100 KO Deposit 13 Op2 |
27/07/2010 |
29/07/2013 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
18.00% |
5,365.67 |
UKX |
GB00B78QN326 |
Geared Returns 34 COL |
23/07/2012 |
31/07/2017 |
|
Matured |
|
09/09/2024 |
Geared Returns |
65.00% |
5,533.87 |
UKX |
GB00B8FGKQ45 |
FTSE Bonus Income 25 Yly COL |
03/09/2012 |
11/09/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.50% |
5,758.41 |
UKX |
GKO5Y000P5O1 |
Gtd 5yr FTSE KO Plan5 Opt1 |
07/09/2009 |
07/09/2011 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Geared Returns |
75.00% |
5,341.93 |
UKX |
G3YF000P2002 |
FTSE 3yr Dep 20 opt 2 INV |
19/10/2010 |
21/10/2013 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
12.00% |
5,703.89 |
UKX |
GB00B89V9L38 |
FTSE Bonus Income 26 Mth |
15/10/2012 |
23/10/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
36.60% |
5,805.61 |
UKX |
G3YF000P10O2 |
Gtd 3yr FTSE 10 op2 (dep) |
07/09/2009 |
07/09/2012 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
Geared Returns |
57.50% |
5,644.54 |
UKX |
GB00B638LL00 |
FTSE 100 Protected Growth Plan 15 |
05/05/2010 |
12/05/2015 |
|
Matured |
|
09/09/2024 |
Protected Growth |
26.97% |
5,341.93 |
UKX |
GB00B659JH38 |
FTSE Bonus Income6 Yly Non |
05/05/2010 |
12/05/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.50% |
5,341.93 |
UKX |
DGP01L180002 |
FTSE 100 Deposit Growth Plan 1 - Lloyds version |
27/07/2010 |
27/07/2015 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
27.94% |
5,365.67 |
UKX |
G5YF00P25O2L |
FTSE 5yr Dep 25 op2 |
20/06/2011 |
20/06/2016 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
27.00% |
5,693.39 |
UKX |
GB00B8FGL058 |
FTSE Bonus Income 25 Yly COL ISA |
03/09/2012 |
11/09/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.50% |
5,758.41 |
UKX |
GB00B50ZDG68 |
Geared Returns 23 Opt1 |
28/02/2011 |
07/03/2016 |
|
Matured |
|
09/09/2024 |
Geared Returns |
70.00% |
5,994.01 |
UKX |
G3YF000P24O1 |
FTSE 3yr Dep 24 opt 1 INV |
26/04/2011 |
28/04/2014 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
15.00% |
6,069.36 |
UKX |
G3YF000P25O1 |
FTSE 3yr Dep 25 opt 1 |
20/06/2011 |
20/06/2014 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
15.00% |
5,693.39 |
UKX |
GB00B6X4CT37 |
Geared Returns 30 COL |
31/01/2012 |
07/02/2017 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
36.00% |
5,365.67 |
UKX |
GB00B56VMJ47 |
FTSE 100 Protected Growth Plan 19 |
19/10/2010 |
26/10/2015 |
|
Matured |
|
09/09/2024 |
Protected Growth |
15.18% |
5,703.89 |
UKX |
GB00B6VGQ991 |
Geared Returns 31 COL |
12/03/2012 |
20/03/2017 |
|
Matured |
|
09/09/2024 |
Geared Returns |
65.00% |
5,892.75 |
UKX |
GKO5Y000P3O2 |
Gtd 5yr FTSE KO Plan3 Opt2 |
15/06/2009 |
15/06/2010 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
10.00% |
4,326.01 |
UKX |
ROF5Y0000P3L |
FTSE RollOver Dep3 LLO Yly |
15/02/2010 |
16/02/2015 |
|
Matured |
|
09/09/2024 |
Rollover Income |
25.00% |
5,167.47 |
UKX |
DGP04L24000R |
FTSE Dep Growth Plan 7 Op2 |
26/04/2011 |
26/04/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
32.99% |
1,652.87 |
EVEN30 |
GB00B4R20D97 |
FTSE Bonus Income 21 Yly ISA |
12/03/2012 |
20/03/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.50% |
5,892.75 |
UKX |
GB00B7V3T546 |
FTSE Bonus Income 24 Yly COL ISA |
23/07/2012 |
31/07/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.50% |
5,533.87 |
UKX |
GB00B3DHH639 |
FTSE RPI Plan 3 Non ISA |
01/12/2008 |
09/12/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
28.00% |
5,167.47 |
UKX |
GB00B78RB089 |
FTSE Bonus Income 20 Yly COL ISA |
31/01/2012 |
07/02/2017 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
32.50% |
5,500.34 |
UKX |
GB00B5P2WN21 |
FTSE Enhanced Kickout 12 INV |
15/06/2010 |
15/06/2011 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
10.00% |
5,217.82 |
UKX |
GB00B70G0Q25 |
FTSE Enhanced Kickout 25 INV |
31/01/2012 |
31/01/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
13.50% |
5,681.61 |
UKX |
GB00B5BH7701 |
FTSE Enhanced Kickout 15 SAN |
19/10/2010 |
19/10/2012 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
20.50% |
5,703.89 |
UKX |
GB00B4LF3R99 |
FTSE Bonus Income11 Yly Non |
30/11/2010 |
08/12/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
41.00% |
5,528.27 |
UKX |
CGM000P16OP1 |
FTSE Income Dep 16 Op1 Mth |
28/02/2011 |
29/02/2016 |
|
Matured |
|
09/09/2024 |
Income Deposit |
19.80% |
5,994.01 |
UKX |
DGP04L35000I |
FTSE Dep Growth Plan 18 Op1 |
03/09/2012 |
04/09/2017 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
28.32% |
5,758.41 |
UKX |
GB00B42HWF51 |
FTSE 100 Geared Returns Plan 21 |
30/11/2010 |
08/12/2015 |
|
Matured |
|
09/09/2024 |
Geared Returns |
70.00% |
5,528.27 |
UKX |
GB00B6Z0XP27 |
FTSE Bonus Income18 Mth ISA COL |
26/10/2011 |
02/11/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
29.88% |
5,553.24 |
UKX |
G3YF0000P4O2 |
Gtd 3yr FTSE 4 op2 (dep) |
01/12/2008 |
01/12/2011 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
22.50% |
4,065.49 |
UKX |
GB00B3PR7D81 |
FTSE 100 Geared Returns Plan 17 |
15/06/2010 |
22/06/2015 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Income Deposit |
22.50% |
5,217.82 |
UKX |
GB00B615ZS87 |
FTSE Bonus Income17 Yly COL |
14/09/2011 |
21/09/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
31.25% |
5,227.02 |
UKX |
GB00B8FYCH36 |
FTSE Bonus Income 27 Mth |
26/11/2012 |
04/12/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
36.60% |
5,786.72 |
UKX |
GB00B82WVB74 |
FTSE Bonus Income 24 Mth ISA COL |
23/07/2012 |
31/07/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
31.20% |
5,533.87 |
UKX |
GB00B8F9QB05 |
Accelerated Growth Plan 35 |
03/09/2012 |
11/09/2017 |
|
Matured |
|
09/09/2024 |
Accelerated Growth |
76.51% |
5,758.41 |
UKX |
CGA3F00000P1 |
3yr Gtd FTSE Inc 1 Op1 Yly |
07/09/2009 |
07/09/2012 |
|
Matured |
|
09/09/2024 |
Income Deposit |
15.30% |
4,933.18 |
UKX |
GB00B528V589 |
FTSE 100 Accelerated Growth Plan 18 |
27/07/2010 |
03/08/2015 |
|
Matured |
|
09/09/2024 |
Accelerated Growth |
55.57% |
5,365.67 |
UKX |
DGP04L28000I |
FTSE Dep Growth Plan 11 Op1 |
26/10/2011 |
26/10/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
18.61% |
5,553.24 |
UKX |
GB00B74BXM09 |
FTSE Enhanced Kickout 27 INV |
02/05/2012 |
02/05/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
Bonus Income |
35.00% |
5,217.82 |
UKX |
GB00B4010G65 |
FTSE Bonus Income14 Mth |
26/04/2011 |
03/05/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.68% |
6,069.36 |
UKX |
G5YF0000P6O2 |
Gtd 5yr FTSE 6 op2 (dep) |
09/03/2009 |
10/03/2014 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
50.00% |
3,542.40 |
UKX |
GB00B3VC0C71 |
FTSE Enhanced Kickout 14 RBS |
07/09/2010 |
07/09/2012 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
20.50% |
5,407.82 |
UKX |
GKO5Y2000P21 |
FTSE 100 KO Deposit 21 Op 2 |
01/08/2011 |
01/08/2014 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
15.75% |
5,774.43 |
UKX |
G5YF00P27O2L |
FTSE 5yr Dep 27 op2 |
14/09/2011 |
14/09/2016 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
25.00% |
5,227.02 |
UKX |
GB00B708RD41 |
FTSE Bonus Income 20 Yly ISA |
31/01/2012 |
07/02/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
36.25% |
5,681.61 |
UKX |
GKO5Y2000P27 |
FTSE 100 KO Deposit 27 |
02/05/2012 |
02/05/2014 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
12.50% |
5,758.11 |
UKX |
GB00B6WGCT01 |
FTSE Bonus Income 21 Mth ISA COL |
12/03/2012 |
20/03/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.08% |
5,892.75 |
UKX |
G5YF00P28O2L |
FTSE 5yr Dep 28 op2 |
26/10/2011 |
26/10/2016 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
31.00% |
5,217.82 |
UKX |
CGM000P19OP1 |
FTSE Income Dep 19 Op1 Yly |
01/08/2011 |
01/08/2016 |
|
Matured |
|
09/09/2024 |
Income Deposit |
21.25% |
5,774.43 |
UKX |
GB00B8FN3226 |
FTSE 100 Defensive Returns Plan 3 |
03/09/2012 |
03/09/2018 |
|
Matured |
|
09/09/2024 |
Defensive Returns |
30.22% |
5,758.41 |
UKX |
GB00B3KVF977 |
FTSE RPI Plan 5 ISA |
09/03/2009 |
17/03/2014 |
|
Matured |
|
09/09/2024 |
RPI Plan |
42.24% |
3,542.40 |
UKX |
CGM0000000P4 |
5yr Gtd FTSE 100 Inc 4 Mth |
19/10/2009 |
20/10/2014 |
|
Matured |
|
09/09/2024 |
Income Deposit |
28.00% |
5,281.54 |
UKX |
G5YF000P22O2 |
FTSE 5yr Dep 22 op2 INVEST |
17/01/2011 |
18/01/2016 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
24.00% |
5,985.70 |
UKX |
GB00B3NLTB41 |
FTSE Bonus Income14 Yly ISA COL |
26/04/2011 |
03/05/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.00% |
6,069.36 |
UKX |
GB00B7GMD871 |
FTSE Bonus Income 22 Yly ISA |
02/05/2012 |
09/05/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.50% |
5,758.11 |
UKX |
GB00B67FMB42 |
FTSE RPI Plan 9 Non ISA |
07/09/2009 |
15/09/2014 |
|
Matured |
|
09/09/2024 |
RPI Plan |
44.72% |
4,933.18 |
UKX |
GB00B5VTXM34 |
Geared Returns 25 INV |
20/06/2011 |
27/06/2016 |
|
Matured |
|
09/09/2024 |
Geared Returns |
67.50% |
5,693.39 |
UKX |
GB00B3FJQM60 |
FTSE 100 Prot 5yr Plan 4 |
26/01/2009 |
03/02/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
32.50% |
5,167.47 |
UKX |
GB00B547W942 |
FTSE Bonus Income13 Yly Non |
28/02/2011 |
07/03/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
35.75% |
5,994.01 |
UKX |
GB00B7W27569 |
Geared Returns 37 INV |
26/11/2012 |
04/12/2017 |
|
Matured |
|
09/09/2024 |
Geared Returns |
80.00% |
5,786.72 |
UKX |
GB00B3KVDT32 |
FTSE 100 Prot 5yr Plan 5 |
09/03/2009 |
17/03/2014 |
|
Matured |
|
09/09/2024 |
Protected Growth |
75.00% |
3,542.40 |
UKX |
ROF5Y0000P2L |
FTSE RollOver Dep2 LLO Yly |
04/01/2010 |
05/01/2015 |
|
Matured |
|
09/09/2024 |
Rollover Income |
27.50% |
5,500.34 |
UKX |
DGP04L29000R |
FTSE Dep Growth Plan 12 Op2 |
07/12/2011 |
07/12/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
41.98% |
1,626.57 |
EVEN30 |
GB00B56MQV71 |
FTSE 100 Geared Returns Plan 13 - Investec version |
04/01/2010 |
12/01/2015 |
|
Matured |
|
09/09/2024 |
Geared Returns |
70.00% |
5,500.34 |
UKX |
GB00B70DJX30 |
FTSE Bonus Income 20 Mth COL |
31/01/2012 |
07/02/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.28% |
5,681.61 |
UKX |
GB00B4LWPL82 |
FTSE Enhanced Kickout 32 COL |
26/11/2012 |
26/11/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
10.50% |
5,786.72 |
UKX |
GB00B3BPBC32 |
FTSE RPI Plan ISA |
08/09/2008 |
16/09/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
35.00% |
4,933.18 |
UKX |
GB00B3QBQS77 |
Geared Returns 26 COL |
01/08/2011 |
08/08/2016 |
|
Matured |
|
09/09/2024 |
Geared Returns |
62.50% |
5,774.43 |
UKX |
G3YF000P22O1 |
FTSE 3yr Dep 22 opt 1 INV |
17/01/2011 |
17/01/2014 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
14.00% |
5,985.70 |
UKX |
GB00B4XZ8T46 |
FTSE Bonus Income19 Mth ISA COL |
07/12/2011 |
14/12/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
31.16% |
5,546.91 |
UKX |
GB00B6QP8P16 |
FTSE Bonus Income 23 Yly ISA |
11/06/2012 |
19/06/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.50% |
5,432.37 |
UKX |
G3YF000P1602 |
FTSE 3yr Dep 16 Opt 2 INV |
05/05/2010 |
07/05/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Income Deposit |
19.80% |
5,528.27 |
UKX |
G3YF000P1401 |
FTSE 3yr Dep 14 Opt 1 INV |
15/02/2010 |
15/02/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
15.00% |
5,805.61 |
UKX |
CGA0000000P2 |
Cap Gtd FTSE 100 Inc 2 Yly |
27/07/2009 |
28/07/2014 |
|
Matured |
|
09/09/2024 |
Income Deposit |
30.00% |
4,586.13 |
UKX |
CGM0000000P7 |
FTSE 100 Income Deposit Plan 7 Mth |
15/02/2010 |
16/02/2015 |
|
Matured |
|
09/09/2024 |
Income Deposit |
23.40% |
5,167.47 |
UKX |
GB00B409T297 |
FTSE Bonus Income9 Mth Non |
07/09/2010 |
14/09/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.40% |
5,407.82 |
UKX |
DGP04L21000I |
FTSE 100 Deposit Growth Plan 4 - Investec version |
30/11/2010 |
30/11/2015 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
16.72% |
5,528.27 |
UKX |
G5YF00P24O1R |
FTSE 5yr Dep 24 op1 RBS |
26/04/2011 |
26/04/2016 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
50.00% |
5,281.54 |
UKX |
GB00B62S3045 |
FTSE Enhanced Kickout 10 RBS |
22/03/2010 |
22/03/2011 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
9.50% |
5,644.54 |
UKX |
G5YF000P22O1 |
FTSE 5yr Dep 22 op1 INVEST |
17/01/2011 |
18/01/2016 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
31.50% |
5,985.70 |
UKX |
GB00B8FN1402 |
FTSE Enhanced Kickout 30 COL 0% Commission |
03/09/2012 |
03/09/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
13.50% |
5,758.41 |
UKX |
GB00B2RFTL51 |
Geared Returns Plan |
28/07/2008 |
05/08/2013 |
|
Matured |
|
09/09/2024 |
Geared Returns |
70.00% |
5,312.60 |
UKX |
GKO5Y0000P17 |
FTSE 100 KO Deposit 17 Op1 |
17/01/2011 |
17/01/2013 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
9.50% |
5,985.70 |
UKX |
G3YF0000P5O2 |
Gtd 3yr FTSE 5 op2 (dep) |
26/01/2009 |
26/01/2012 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
30.00% |
4,209.01 |
UKX |
G3YF0000P8O2 |
Gtd 3yr FTSE 8 op2 (dep) |
15/06/2009 |
15/06/2012 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
25.00% |
4,326.01 |
UKX |
GKO5Y0000P16 |
FTSE 100 KO Deposit 16 Op1 |
30/11/2010 |
30/11/2012 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
10.00% |
5,528.27 |
UKX |
GB00B4RHF391 |
FTSE Bonus Income17 Yly ISA |
14/09/2011 |
21/09/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.50% |
5,227.02 |
UKX |
DGP04L29000I |
FTSE Dep Growth Plan 12 Op1 |
07/12/2011 |
07/12/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
21.23% |
5,546.91 |
UKX |
CGPIMF3YP10L |
FTSE Plus Inc1 3yr LLO Mth |
30/11/2009 |
30/11/2012 |
|
Matured |
|
09/09/2024 |
Plus Income Deposit |
12.24% |
5,190.68 |
UKX |
GB00B3W4LG30 |
FTSE Bonus Income14 Mth ISA |
26/04/2011 |
03/05/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.68% |
6,069.36 |
UKX |
GB00B7514S24 |
FTSE Bonus Income 22 Mth COL |
02/05/2012 |
09/05/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
33.48% |
5,758.11 |
UKX |
GB00B7YH1911 |
FTSE Bonus Income 23 Mth ISA COL |
11/06/2012 |
19/06/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
33.60% |
5,432.37 |
UKX |
GB00B7RKZB79 |
FTSE Bonus Income 27 Mth ISA |
26/11/2012 |
04/12/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
36.60% |
5,786.72 |
UKX |
CGA0000000P4 |
5yr Gtd FTSE 100 Inc 4 Yly |
19/10/2009 |
20/10/2014 |
|
Matured |
|
09/09/2024 |
Income Deposit |
30.00% |
5,281.54 |
UKX |
G3YF000P12O2 |
Gtd 3yr FTSE 12 op2 INVEST |
30/11/2009 |
30/11/2012 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
15.00% |
5,190.68 |
UKX |
DGP04L22000I |
FTSE Dep Growth Plan 5 INV |
17/01/2011 |
18/01/2016 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
5.02% |
5,985.70 |
UKX |
GB00B7PG4S73 |
FTSE Bonus Income 26 Mth ISA |
15/10/2012 |
23/10/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
36.60% |
5,805.61 |
UKX |
G3YF0000P4O1 |
Gtd 3yr FTSE 4 op1 (dep) |
01/12/2008 |
01/12/2011 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Income Deposit |
22.20% |
5,407.82 |
UKX |
DGP04L21000R |
FTSE 100 Deposit Growth Plan 4 - RBS version |
30/11/2010 |
30/11/2015 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
16.72% |
5,528.27 |
UKX |
GB00B78RM490 |
FTSE Bonus Income 20 Mth |
31/01/2012 |
07/02/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
34.68% |
5,681.61 |
UKX |
GB00B48MM106 |
FTSE Bonus Income 21 Mth |
12/03/2012 |
20/03/2017 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
30.00% |
5,644.54 |
UKX |
GB00B642XK43 |
FTSE Bonus Income15 Yly ISA COL |
20/06/2011 |
27/06/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.00% |
5,693.39 |
UKX |
G5YF0000P9O1 |
Gtd 5yr FTSE 9 op1 (dep) |
27/07/2009 |
28/07/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Income Deposit |
22.00% |
5,528.27 |
UKX |
CGM000P17OP1 |
FTSE Income Dep 17 Op2 Mth |
26/04/2011 |
26/04/2016 |
|
Matured |
|
09/09/2024 |
Income Deposit |
21.60% |
6,069.36 |
UKX |
CGA000P14OP2 |
FTSE 100 Income Deposit Plan 14 Op2 Yly |
30/11/2010 |
30/11/2015 |
|
Matured |
|
09/09/2024 |
Income Deposit |
22.50% |
5,528.27 |
UKX |
GB00B60BQ170 |
FTSE Enhanced Kickout 20 COL |
20/06/2011 |
20/06/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
19.50% |
5,693.39 |
UKX |
GB00B3DHGV16 |
Geared Returns Plan 4 |
01/12/2008 |
09/12/2013 |
|
Matured |
|
09/09/2024 |
Geared Returns |
80.00% |
4,065.49 |
UKX |
G3YF000P1402 |
FTSE 3yr Dep 14 Opt 2 INV |
15/02/2010 |
15/02/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
19.00% |
5,681.61 |
UKX |
GKO5Y2000P28 |
FTSE 100 KO Deposit 28 |
11/06/2012 |
11/06/2014 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
12.00% |
5,432.37 |
UKX |
GB00B627P839 |
FTSE Enhanced Kickout 11 RBS |
05/05/2010 |
04/05/2011 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
9.25% |
5,341.93 |
UKX |
GB00B46BNH29 |
FTSE 100 Protected Growth Plan 18 |
07/09/2010 |
14/09/2015 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
22.50% |
5,703.89 |
UKX |
GB00B8F8XW77 |
Geared Returns 35 COL |
03/09/2012 |
11/09/2017 |
|
Matured |
|
09/09/2024 |
Geared Returns |
66.00% |
5,758.41 |
UKX |
GB00B3XYR532 |
FTSE 100 Prot 5yr Plan 7 |
15/06/2009 |
23/06/2014 |
|
Matured |
|
09/09/2024 |
Protected Growth |
55.31% |
4,326.01 |
UKX |
GB00B4ZWQN34 |
FTSE Bonus Income 21 Mth ISA |
12/03/2012 |
20/03/2017 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
Geared Returns |
75.00% |
5,644.54 |
UKX |
CGM0000000P2 |
Cap Gtd FTSE 100 Inc 2 Mth |
27/07/2009 |
28/07/2014 |
|
Matured |
|
09/09/2024 |
Income Deposit |
28.80% |
4,586.13 |
UKX |
GB00B575DC55 |
FTSE Enhanced Kickout 8 INV |
04/01/2010 |
04/01/2011 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
11.00% |
5,500.34 |
UKX |
GB00B5MXW615 |
Accelerated Growth Plan 22 |
17/01/2011 |
25/01/2016 |
|
Matured |
|
09/09/2024 |
Accelerated Growth |
8.77% |
5,985.70 |
UKX |
DGP04L30000I |
FTSE Dep Growth Plan 13 Op1 |
31/01/2012 |
31/01/2017 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
22.02% |
5,681.61 |
UKX |
GB00B7JXH527 |
FTSE Enhanced Kickout 29 COL |
23/07/2012 |
23/07/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
10.50% |
5,533.87 |
UKX |
G3YF0000P2O2 |
Gtd 3yr FTSE 2 op2 (dep) |
08/09/2008 |
08/09/2011 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
2.94% |
5,446.30 |
UKX |
GB00B4LCK247 |
FTSE Bonus Income16 Mth |
01/08/2011 |
08/08/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
31.96% |
5,774.43 |
UKX |
G3YF000P1302 |
FTSE 3yr Dep 13 Opt 2 INV |
04/01/2010 |
04/01/2013 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
5 Year Deposit |
22.50% |
5,407.82 |
UKX |
G3YF000P1902 |
FTSE 3yr Dep 19 Opt 2 INV |
07/09/2010 |
09/09/2013 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
12.00% |
5,407.82 |
UKX |
GB00B849VK53 |
FTSE 100 6yr Kickout Plan 3 INV |
23/07/2012 |
23/07/2013 |
|
Matured |
|
09/09/2024 |
6 Year Kickout |
11.00% |
5,533.87 |
UKX |
G5YF0000P6O1 |
Gtd 5yr FTSE 6 op1 (dep) |
09/03/2009 |
10/03/2014 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
50.00% |
3,542.40 |
UKX |
G5YF00P26O1L |
FTSE 5yr Dep 26 op1 |
01/08/2011 |
01/08/2016 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
33.00% |
5,774.43 |
UKX |
GB00B887FB40 |
FTSE Bonus Income 27 Mth COL |
26/11/2012 |
04/12/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
30.60% |
5,786.72 |
UKX |
G5YF000P23O1 |
FTSE 5yr Dep 23 op1 INVEST |
28/02/2011 |
29/02/2016 |
|
Matured |
|
09/09/2024 |
5 Year Deposit |
32.50% |
5,994.01 |
UKX |
DGP04L30000R |
FTSE Dep Growth Plan 13 Op2 |
31/01/2012 |
31/01/2017 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
42.03% |
1,624.41 |
EVEN30 |
DGP04L31000R |
FTSE Dep Growth Plan 14 Op2 |
12/03/2012 |
13/03/2017 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Geared Returns |
62.50% |
5,644.54 |
UKX |
GB00B5PQ4N89 |
FTSE Enhanced Kickout 17 INV |
17/01/2011 |
17/01/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
22.50% |
5,985.70 |
UKX |
GB00B3RHK377 |
FTSE Bonus Income14 Mth ISA COL |
26/04/2011 |
03/05/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
30.28% |
6,069.36 |
UKX |
G3YF0000P3O2 |
Gtd 3yr FTSE 3 op2 (dep) |
20/10/2008 |
20/10/2011 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
24.73% |
4,282.67 |
UKX |
GB00B7YH0H21 |
FTSE Bonus Income 23 Mth ISA |
11/06/2012 |
19/06/2017 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.20% |
5,432.37 |
UKX |
G3YF0000P8O1 |
Gtd 3yr FTSE 8 op1 (dep) |
15/06/2009 |
15/06/2012 |
|
Matured |
|
09/09/2024 |
3 Year Deposit |
25.00% |
4,326.01 |
UKX |
GKO5Y2000P30 |
FTSE 100 KO Deposit 30 0% Commission |
03/09/2012 |
03/09/2014 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
13.40% |
5,758.41 |
UKX |
GB00B3BPB787 |
FTSE RPI Plan Non ISA |
08/09/2008 |
16/09/2013 |
|
Matured |
|
09/09/2024 |
RPI Plan |
39.25% |
5,446.30 |
UKX |
GKO5Y00000P1 |
Gtd 5yr FTSE Kickout Plan1 |
09/03/2009 |
09/03/2010 |
|
Matured |
|
09/09/2024 |
Kickout Deposit |
10.00% |
3,542.40 |
UKX |
GB00B42W4G52 |
5yr FTSE Bonus Income1 Mth |
19/10/2009 |
27/10/2014 |
|
Matured |
|
09/09/2024 |
Bonus Income |
37.32% |
5,281.54 |
UKX |
GB00B4V95C01 |
FTSE 100 Protected Growth Plan 11 |
30/11/2009 |
08/12/2014 |
|
Matured |
|
09/09/2024 |
Protected Growth |
28.72% |
5,190.68 |
UKX |
GB00B5NHCP14 |
FTSE Bonus Income12 Yly Non |
17/01/2011 |
25/01/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
34.00% |
5,985.70 |
UKX |
GB00B55F7R04 |
FTSE Bonus Income13 Mth Non |
28/02/2011 |
07/03/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
33.92% |
5,994.01 |
UKX |
GB00B5BPQH79 |
FTSE Bonus Income8 Yly ISA |
27/07/2010 |
03/08/2015 |
|
Matured |
|
09/09/2024 |
Bonus Income |
32.50% |
5,365.67 |
UKX |
CGM000P15OP1 |
FTSE Income Dep 15 Op1 Mth |
17/01/2011 |
18/01/2016 |
|
Matured |
|
09/09/2024 |
Income Deposit |
19.80% |
5,985.70 |
UKX |
GB00B50T7X32 |
FTSE Bonus Income17 Mth |
14/09/2011 |
21/09/2016 |
|
Matured |
|
09/09/2024 |
Bonus Income |
31.20% |
5,227.02 |
UKX |
GB00B6X3Z468 |
FTSE Enhanced Kickout 29 INV |
23/07/2012 |
23/07/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
13.00% |
5,533.87 |
UKX |
GB00B3FJR126 |
FTSE RPI Plan 4 Non ISA |
26/01/2009 |
03/02/2014 |
|
Matured |
|
09/09/2024 |
RPI Plan |
40.95% |
4,209.01 |
UKX |
CGA3V00000P1 |
3yr Gtd FTSE Inc 1 Op2 Yly |
07/09/2009 |
07/09/2012 |
|
Matured |
|
09/09/2024 |
Income Deposit |
6.00% |
4,933.18 |
UKX |
GB00B4255725 |
FTSE Bonus Income16 Yly ISA COL |
01/08/2011 |
08/08/2016 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
Plus Income Deposit |
34.25% |
5,217.82 |
UKX |
DGP04L32000R |
FTSE Dep Growth Plan 15 Op2 |
02/05/2012 |
02/05/2017 |
|
Matured |
|
09/09/2024 |
Deposit Growth |
36.72% |
1,691.99 |
EVEN30 |
GB00B84Q0N28 |
FTSE Enhanced Kickout 31 INV 0% Commission |
15/10/2012 |
15/10/2013 |
|
Matured |
|
09/09/2024 |
Enhanced Kickout |
16.00% |
5,805.61 |
UKX |
GB00B55T2K07 |
Accelerated Growth Plan 7 |
05/05/2009 |
12/05/2014 |
|
Matured |
|
09/09/2024 |
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 |
|
09/09/2024 |
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 |
|
09/09/2024 |
3 Year Deposit |
13.00% |
5,758.41 |
UKX |
G3YF000P1601 |
FTSE 3yr Dep 16 Opt 1 INV |
05/05/2010 |