The Group uses medium term note programmes as part of its funding activities. More information about the programmes, including prospectuses and final terms, can be obtained by clicking on the links below.
Virgin Money UK PLC and Clydesdale Bank PLC £10,000,000,000 Global Medium Term Note Programme
Prospectus
Final Terms
Transaction Documentation
Virgin Money UK PLC £350,000,000 3.375 per cent. Fixed Rate Reset Callable Senior Notes due 24 April 2026 (originally issued by Virgin Money Holdings (UK) plc)
Prospectus
Final Terms
Following the Consent Solicitation Virgin Money UK PLC is now the issuer and principal debtor under Series 2