Covered Bonds
BMO Global Registered Covered Bond Program
BMOB M O's Global Registered Covered Bond Program is registered under the National Housing Act (Canada). Covered bonds outstanding under this program were issued after December 2012.
Terms of Access
- Before entering this site, please read carefully the following important terms and conditions that govern your access to, and use of, this site, and acknowledge your agreement of them. If you agree to the terms, click 'I Agree' at the end of this page to enter this site. If you click 'I do not agree' you will not be able to access this site.
- You (the User) acknowledge and agree to the Terms and Conditions of Access to the Site (the Terms and Conditions) and agree not to undertake any act or omission that would constitute a breach of these Terms and Conditions.
- Access and use of this site (the Site) is conditional upon agreement to and compliance with these Terms and Conditions.
- 1. Content and purpose
- The Site has
been created to present certain selected information, and to allow access to certain transaction
documents, relating to Bank of Montreal’s (BMOB M O) Global
Registered Covered Bond Program (the Program). The
Program is registered under the National Housing Act (Canada).
BMOB M O may incorporate any information on the Site into any prospectus or prospectus supplement with respect to any specific offering of covered bonds by referring in such prospectus or prospectus supplement to the Site. - 2. Access to and use of the Site
- 2.1 Nothing in the Site shall constitute an invitation or recommendation to invest or otherwise deal in, or an offer to sell or the solicitation of an offer to buy or subscribe for, any security. There shall be no sale of any covered bonds any jurisdiction in which such an offer, solicitation or sale would be unlawful prior to qualification under the securities laws of such state or jurisdiction. Any products or services mentioned herein shall only be available subject to local legal and regulatory requirements.
- 2.2 Providing access to material on the Site may be restricted by local law in jurisdictions other than Canada and the United States and failure to comply with such restrictions may constitute a violation of the laws of any such jurisdiction. Persons accessing the Site should inform themselves about, and observe any such restrictions.
- 2.3 The covered bonds offered under the program have not been approved or disapproved by canada mortgage and housing corporation (CMHC) nor has cmhc passed upon the accuracy or adequacy of any of the disclosure contained in the documents posted on the site. The covered bonds offered under the program are not insured or guaranteed by CMHC or the government of canada or any other agency thereof.
- 2.4 Nothing in the Site constitutes an offer of securities for sale in the United States. The covered bonds may not be offered or sold in the United States absent registration or an exemption from registration under the Securities Act of 1933, as amended (the Securities Act). It is not intended that the covered bonds will be registered under the Securities Act or any U.S. state securities laws.
- 2.5 If you are a resident of the UK or other EEA countries, before reviewing the material relating to the Program, you must acknowledge that (a) you are a person whose ordinary activities involve you in acquiring, holding, managing or disposing of investments (as principal or agent) for the purposes of your business; (b) you will not offer or sell any covered bonds other than to persons: (i) whose ordinary activities involve them in acquiring, holding, managing or disposing of investments (as principal or agent) for the purposes of their businesses or (ii) who it is reasonable to expect will acquire, hold, manage or dispose of investments (as principal or agent) for the purposes of their businesses; (c) if you are a person in the United Kingdom, then you are a person who (i) has professional experience in matters relating to investments or (ii) is a high net worth entity falling within Article 49(2)(a) to (d) of the Financial Services and Markets Act (Financial Promotion) Order 2005; and (d) you have complied and will comply with all applicable provisions of the Financial Services and Markets Act 2000 of the UK with respect to anything done by you in relation to any covered bonds in, from or otherwise involving the UK. The covered bonds offered under the Program are available only to persons resident in the UK having professional experience in matters relating to investments. Persons resident in the UK who do not have professional experience in matters relating to investments should not access the Site.
- 2.6 This website is an advertisement and is not a prospectus for the purposes of EU Directive 2003/71/EC (the Prospectus Directive) and/or Part VI of the Financial Services and Markets Act 2000.
- 2.7 If Covered Bonds are issued under the Program via the UK and are to be admitted to trading on a regulated market (as defined in the Prospectus Directive) a final terms document will be prepared and made available to the public in accordance with the Prospectus Directive. Users should not subscribe for any Securities issued under the Program via the UK referred to in this document except on the basis of the information contained in the final form prospectus as supplemented from time to time and any applicable final terms document.
- 2.8 Any applicable final terms document for Covered Bonds to be admitted to trading on a regulated market, when published, will be available on the website of the Regulatory News Service operated by the London Stock Exchange at http://www.londonstockexchange.com/exchange/news/market-news/market-news-home.html under the name of Bank of Montreal and the headline 'Publication of Prospectus'.
- 2.9 The User will use the Site solely for its own internal use in accordance with these Terms and Conditions. The materials on the Site are intended for use by authorised Users only and may not be published, copied or distributed to any other person without obtaining the prior written consent of BMOB M O in each specific instance.
- 2.10 The User will not engage in any activities related to the Site that are contrary to applicable law or regulation or the terms of any agreements between the User and BMOB M O.
- 2.11 Unauthorised use of the Site including but not limited to unauthorised entry into BMOB M O's or its third party data providers' systems, or misuse of any information posted to the Site, is strictly prohibited.
- 2.12 The Site may contain other proprietary notices and copyright information, the terms of which must be observed and followed.
- 3.
Acknowledgements and disclaimers
The User acknowledges and agrees to the following:
(a) No duty to update or correct materials. Neither BMOB M O nor any other party has any duty to maintain or update any materials available on the Site. Historic performance information with regard to any security is no indication of its future performance and should not be relied on when making an investment decision.
(b) Changes to the Site. BMOB M O or its third party data providers may remove or make changes to the materials available on the Site or discontinue the Site at any time.
(c) BMOB M O positions. BMOB M O may have its own interests in relation to the issuers or any affiliates of the issuers of covered bonds or transactions mentioned on the Site.
(d) Disclaimer of advice. The materials available on the Site have no regard to the specific investment objectives, financial situation or particular needs of any User. Except as otherwise expressly stated, the Site does not purport to provide any financial, investment, tax, accounting or legal advice or recommendation. Users should consult with their own advisors regarding an investment in any covered bonds.
(e) Click through. Any acknowledgment, agreement or other type of click through button on the Site that is selected to evidence agreement or an acknowledgement shall have the same force and validity as a paper copy of an agreement that has been manually signed and delivered. - 4. Limitation of Liability
- 4.1 The Site may contain forward-looking statements. All such statements are made pursuant to the “safe harbour” provisions of, and are intended to be forward-looking statements under, the United States Private Securities Litigation Reform Act of 1995 and any applicable Canadian securities legislation. By their nature, forward-looking statements require BMOB M O to make assumptions and are subject to inherent risks and uncertainties. There is significant risk that predictions, forecasts, conclusions or projections will not prove to be accurate, that BMOB M O’s assumptions may not be correct and that actual results may differ materially from such predictions, forecasts, conclusions or projections. BMOB M O cautions Users not to place undue reliance on its forward-looking statements as a number of factors could cause actual future results, conditions, actions or events to differ materially from the targets, expectations, estimates or intentions expressed in the forward-looking statements. The future outcomes that relate to forward-looking statements may be influenced by many factors, including but not limited to: general economic and market conditions in the countries in which BMOB M O operates; weak, volatile or illegal capital and/or credit markets; interest rate and currency value fluctuations; changes in monetary, fiscal or economic policy; the degree of competition in the geographic and business areas in which BMOB M O operates; changes in laws or in supervisory expectations or requirements, including capital, interest rate and liquidity requirements and guidance; judicial or regulatory proceedings; the accuracy and completeness of the information BMOB M O obtains with respect to its customers and counterparties; BMOB M O’s ability to execute its strategic plans and to complete and integrate acquisitions; critical accounting estimates and the effect of changes to accounting standards, rules and interpretations on these estimates; operational and infrastructure risks; changes in BMOB M O’s credit ratings; general political conditions; global capital markets activities; the possible effects on BMOB M O’s business of war or terrorist activities; disease or illness that affects local, national or international economies; natural disasters and disruptions to public infrastructure, such as transportation, communications, power or water supply; technological changes and BMOB M O’s ability to anticipate and effectively manage risks associated with all of the foregoing factors. BMOB M O cautions Users that the foregoing list is not exhaustive of all possible factors. Other factors could adversely affect BMOB M O’s results. For more information, Users should review the discussion contained in BMOB M O’s most recent annual report concerning the effect certain key factors could have on BMOB M O’s actual results. When relying on forward-looking statements to make decisions with respect to BMOB M O, investors and others (including Users) should carefully consider these factors, as well as other uncertainties and potential events, and the inherent uncertainty of forward-looking statements.
- 4.2 No representation or warranty, express or implied, is or will be made in relation to, the accuracy and completeness of the information on this Site. BMOB M O and its third party data providers are not responsible for any errors in or omissions from the information contained in or accessed through the Site (including all information, tools and materials contained on the Site). Except as may be otherwise expressly provided by written agreement between BMOB M O and the User, BMOB M O will have no tort, contract or any other liability to the User or any third party for any loss or damage arising in connection with the use of the Site, or reliance on any information or services provided at this Site.
- 4.3 BMOB M O will under no circumstances be liable to the User or any third party, regardless of the form of action, for any lost profits or lost opportunity, or any indirect, special, consequential, incidental or punitive damages whatsoever, even if BMOB M O has been advised of the possibility of such damages.
- 5. Governing Law.
- 5.1 These Terms and Conditions will be governed by, and construed in accordance with, the laws of the Province of Ontario and the federal laws of Canada applicable therein.
- 5.2 The courts of the Province of Ontario will have jurisdiction to settle any disputes which may arise in connection with these Terms and Conditions.
Program and offering documents
-
Program documents Table of Documents Download Format Master Definitions and Construction Agreement PDF Amending Agreement to Master Definitions and Construction Agreement PDF Second Amending Agreement to Master Definitions and Construction Agreement PDF Third Amending Agreement to Master Definitions and Construction Agreement PDF Fourth Amending Agreement to Master Definitions and Construction Agreement PDF Second Amended and Restated Master Definitions and Construction Agreement PDF Agency Agreement PDF Agency Agreement Amending Agreement PDF Supplemental Agency Agreement PDF Trust Deed Third Amended and Restated Trust Deed PDF Amending Agreement to Trust Deed PDF Second Amending Agreement to Trust Deed PDF Third Amending Agreement to Trust Deed PDF Fourth Amending Agreement to Trust Deed PDF Fifth Amending Agreement to Trust Deed PDF Sixth Amending Agreement to Trust Deed PDF Security Agreement PDF Mortgage Sale Agreement PDF Amending Agreement to Mortgage Sale Agreement PDF Second Amending Agreement to Mortgage Sale Agreement PDF Servicing Agreement PDF Intercompany Loan Agreement Intercompany Loan Agreement PDF Amending agreement to Intercompany Loan Agreement PDF Guarantor Agreement Guarantor Agreement PDF Amending Agreement to Guarantor Agreement PDF Guarantor Agreement Second Amending Agreement PDF Guarantor Agreement Third Amending Agreement PDF Interest Rate Swap ISDA Master Agreement PDF Amending Agreement for ISDA Interest Rate Swap Master Agreement PDF Interest Rate Swap - Schedule to ISDA Master Agreement PDF Interest Rate Swap - CSA PDF Interest Rate Swap Confirm PDF Covered Bond Swap ISDA Master Agreement PDF Amending Agreement for ISDA Covered Bond Swap Master Agreement PDF Covered Bond Swap - Schedule to ISDA Master Agreement PDF Covered Bond Swap - CSA PDF Cover Pool Monitor Agreement PDF Cover Pool Monitor Amending Agreement PDF Cash Management Agreement PDF Cash Management Amending Agreement PDF Bank Account Agreement PDF Guaranteed Deposit Account Contract PDF Stand-By Guaranteed Deposit Account Contract PDF Stand-By Bank Account Agreement PDF Standby Bank Account Agreement Amending Agreement PDF Corporate Services Agreement PDF Dealership Agreement Third Amended and Restated Dealership Agreement PDF -
Offering Documents US Offering Documents Download Format (a) Documents Incorporated by Reference Annual Report filed on Form 40-F PDF Form 6-Ks filed by the Bank PDF UKLA documents UKLA Documents Download Format 2024 UKLA Final Prospectus PDF First Prospectus Supplement PDF 2023 UKLA Final Prospectus PDF First Prospectus Supplement PDF Second Prospectus Supplement PDF Third Prospectus Supplement PDF Fourth Prospectus Supplement PDF 2022 UKLA Final Prospectus PDF First Prospectus Supplement PDF Second Prospectus Supplement PDF Third Prospectus Supplement PDF Fourth Prospectus Supplement PDF 2021 UKLA Final Prospectus PDF First Prospectus Supplement PDF Second Prospectus Supplement PDF Third Prospectus Supplement PDF Fourth Prospectus Supplement PDF 2020 UKLA Final Prospectus PDF 2019 UKLA Final Prospectus PDF First Prospectus Supplement PDF Second Prospectus Supplement PDF 2018 UKLA Final Prospectus PDF First Prospectus Supplement PDF Second Prospectus Supplement PDF 2017 UKLA Final Prospectus PDF First Prospectus Supplement PDF Second Prospectus Supplement PDF Third Prospectus Supplement PDF 2016 UKLA Final Prospectus PDF First Prospectus Supplement PDF Second Prospectus Supplement PDF Third Prospectus Supplement PDF Fourth Prospectus Supplement PDF Fifth Prospectus Supplement PDF 2015 UKLA Final Prospectus PDF First Prospectus Supplement PDF Second Prospectus Supplement PDF Third Prospectus Supplement PDF Fourth Prospectus Supplement PDF Fifth Prospectus Supplement PDF 2014 UKLA Final Prospectus PDF First Prospectus Supplement PDF Second Prospectus Supplement PDF Third Prospectus Supplement PDF Fourth Prospectus Supplement PDF Fifth Prospectus Supplement PDF Sixth Prospectus Supplement PDF -
CMHC Annual Compliance Certificates Download Format 2024 Annual Compliance Certificate PDF 2023 Annual Compliance Certificate PDF 2022 Annual Compliance Certificate PDF 2021 Annual Compliance Certificate PDF 2020 Annual Compliance Certificate PDF 2019 Annual Compliance Certificate PDF 2018 Annual Compliance Certificate PDF 2017 Annual Compliance Certificate PDF 2016 Annual Compliance Certificate PDF 2015 Annual Compliance Certificate PDF
Transaction documents
Series | Issue Date | Maturity Date | Amount Issued (MM) | Rate | Documents | |
---|---|---|---|---|---|---|
CBL1 | May 7, 2014 | May 7, 2019 | EUR 1,000 | 1.000% |
Final Terms |
Covered Bond Swap Confirmation |
CBL2 | Jan 22, 2015 | May 7, 2020 | EUR 1,500 | 0.25% |
Final Terms |
Covered Bond Swap Confirmation |
CBL3 | Jan 29, 2015 | Jan 29, 2018 | GBP 325 | 3MoGBPLibor + 0.19% |
Final Terms |
Covered Bond Swap Confirmation |
CBL4 | Aug 5, 2015 | Aug 5, 2018 | EUR 1,500 | 0.375% |
Final Terms |
Covered Bond Swap Confirmation |
CBL5 | Sept 21, 2015 | Sept 21, 2022 | EUR 1,000 | 0.75% |
Final Terms |
Covered Bond Swap Confirmation |
CBL6 | Sept 29, 2015 | Sept 28, 2035 | EUR 135 | 1.597% |
Final Terms |
Covered Bond Swap Confirmation |
CBL7 | Jan 14, 2016 | Jan 14, 2019 | EUR 1,500 | 0.100% |
Final Terms |
Covered Bond Swap Confirmation |
CBL8 | April 19, 2016 | April 19, 2021 | EUR 1,500 | 0.125% |
Final Terms |
Covered Bond Swap Confirmation |
CBL9 | June 15, 2016 | June 15, 2021 | USD 1,500 | 1.750% |
Final Terms |
Covered Bond Swap Confirmation |
CBL10 | Oct 20, 2016 | Oct 20, 2021 | EUR 1,750 | 0.100% |
Final Terms |
Covered Bond Swap Confirmation |
CBL11 | Jan 11, 2017 | Jan 11, 2022 | USD 1,750 | 2.50% |
Final Terms |
Covered Bond Swap Confirmation |
CBL12 | July 20, 2017 | July 20, 2020 | GBP800 | 3MoGBPLibor + 0.21% |
Final Terms |
Covered Bond Swap Confirmation |
CBL13 | Oct 26, 2017 | Jan 26, 2023 | EUR1,500 | 0.20% |
Final Terms |
Covered Bond Swap Confirmation |
CBL14 | Feb 01, 2018 | Feb 01, 2023 | CAD 1,000 | 3MoBA + 0.19% |
Information Statement |
Covered Bond Swap Confirmation |
CBL14-2 | Mar 27, 2018 | Feb 01, 2023 | CAD 1,000 | 3MoBA + 0.19% |
Information Statement |
Covered Bond Swap Confirmation |
CBL15 | Apr 16, 2018 | Apr 16, 2023 | GBP400 | SONIA + 0.3993% |
Final Terms |
Covered Bond Swap Confirmation |
CBL16 | Jan 10, 2019 | Jan 10, 2024 | EUR 1,250 | 0.25% |
Final Terms |
Covered Bond Swap Confirmation |
CBL17 | June 19, 2019 | June 15, 2022 | USD1,750 | 2.10% |
Final Terms |
Covered Bond Swap Confirmation |
CBL18 | Mar 26, 2020 | Mar 26, 2023 | EUR1,250 | 0.125% |
Final Terms |
Covered Bond Swap Confirmation |
CBL19 | Mar 25, 2020 | Sep 27, 2021 | CAD 1,500 | 1MoBA+0.80% |
Final Terms |
Covered Bond Swap Confirmation |
CBL20 | Mar 25, 2020 | Mar 27, 2023 | CAD 1,500 | 1MoBA+0.85% |
Final Terms |
Covered Bond Swap Confirmation |
CBL21 | Apr 7, 2020 | Apr 7, 2026 | CHF160 | 0.035% |
Pricing Supplement |
Covered Bond Swap Confirmation |
CBL22 | Apr 20, 2020 | Dec 22, 2023 | CHF325 | 0.096% |
Pricing Supplement |
Covered Bond Swap Confirmation |
CBL23 | Apr 17, 2020 | Apr 17, 2023 | AUD 2,000 | 3m BBSW + 1.20% |
Pricing Supplement |
Covered Bond Swap Confirmation |
CBL24 | June 8, 2021 | June 8, 2029 | EUR 1,250 | 0.05% |
Final Terms |
Covered Bond Swap Confirmation |
CBL25 | Sep 15, 2021 | Sep 15, 2026 | GBP 1,500 | Compounded Daily SONIA +1.00% |
Final Terms |
Covered Bond Swap Confirmation |
CBL26 | Jan 26, 2022 | Jan 26, 2027 | EUR 2,750 | 0.125% |
Final Terms |
Covered Bond Swap Confirmation |
CBL27 | Mar 9, 2022 | Mar 9, 2027 | GBP 600 | Compounded Daily SONIA +1.00% |
Final Terms |
Covered Bond Swap Confirmation |
CBL28 | Apr 5, 2022 | Apr 5, 2026 | EUR 1,750 | 1.00% |
Final Terms |
Covered Bond Swap Confirmation |
CBL29 | July 25, 2022 | July 25, 2025 | USD 2,500 MM | 3.75% |
Final Terms |
Covered Bond Swap Confirmation |
CBL30 | Oct 13, 2022 | Oct 13, 2026 | EUR 1,000 | 2.75% |
Final Terms |
Covered Bond Swap Confirmation |
CBL31 | Oct 25, 2022 | Oct 31, 2025 | AUD700 | 3m BBSW + 0.90% |
Pricing Supplement |
Covered Bond Swap Confirmation |
CBL32 | Dec 14, 2022 | Dec 14, 2025 | GBP1,000 | SONIA+ 0.65% |
Final Terms |
Covered Bond Swap Confirmation |
CBL33 | Apr 04, 2023 | Jul 04, 2026 | EUR 2,000 | 3.375% |
Final Terms |
Covered Bond Swap Confirmation |
CBL34 | Apr 27, 2023 | Apr 27, 2028 | CHF 325 | 2.0375% |
Pricing Supplement |
Covered Bond Swap Confirmation |
CBL35 | Jun 02, 2023 | Sep 02, 2027 | GBP 750 | Compounded Daily SONIA +0.65% |
Final Terms |
Covered Bond Swap Confirmation |
CBL36 | Jun 15, 2023 | Jan 08, 2026 | USD 250 | Compounded SOFR +0.68% |
Pricing Supplement |
Covered Bond Swap Confirmation |
CBL37 | Jun 28, 2023 | Jun 28, 2028 | USD 1,000 | 4.689% |
Final Terms |
Covered Bond Swap Confirmation |
Monthly Investor Reports
View our Global Registered Covered Bond Monthly Investor Reports by selecting a year and the information you are interested in from the table below. Please note that you will need Acrobat Reader to view these reports.
With effect from March 2019, the monthly investor reports in excel format below are in the format of the Harmonized Transparency Template (HTTH T T).
Master Definitions and Construction Agreement
Amending Agreement to Master Definitions and Construction Agreement