Exhibit No. 1
|
FRN Variable Rate Fix dated 6 September 2012
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Exhibit No. 2
|
FRN Variable Rate Fix dated 7 September 2012 |
Exhibit No. 3
|
Barclays speaks at New York investor conference dated 10 September 2012
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Exhibit No. 4
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Director/PDMR shareholding dated 10 September 2012
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Exhibit No. 5 | Invitation to Purchase Notes for Cash dated 10 September 2012 |
Exhibit No. 6 |
Invitation to Purchase Notes for Cash dated 10 September 2012
|
Exhibit No. 7 |
Director/PDMR Shareholding dated 11 September 2012
|
Exhibit No. 8 | Director/PDMR Shareholding dated 14 September 2012 |
Exhibit No. 9 | FRN Variable Rate Fix dated 17 September 2012 |
Exhibit No. 10 |
FRN Variable Rate Fix dated 17 September 2012
|
Exhibit No. 11 | Additional Listing dated 18 September 2012 |
Exhibit No. 12 | Invitation to Purchase Notes for Cash (Results) dated 18 September 2012 |
Exhibit No. 13 |
Invitation to Purchase Notes for Cash (Results) dated 18 September 2012
|
Exhibit No. 14 |
FRN Variable Rate Fix dated 20 September 2012
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Exhibit No. 15 |
FRN Variable Rate Fix dated 20 September 2012
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Exhibit No. 16 | Antony Jenkins speakes at investor conference dated 25 September 2012 |
Exhibit No. 17 | Director/PDMR Shareholding dated 26 September 2012 |
Exhibit No. 18 |
FRN Variable Rate Fix dated 26 September 2012
|
Exhibit No. 1
|
Re:
|
BARCLAYS BANK PLC.
|
EUR 250,000,000.00
|
|
MATURING: 08-Sep-2014
|
|
ISIN: XS0673964721
|
|
PLEASE BE ADVISED THAT THE INTEREST RATE FOR THE PERIOD
|
|
10-Sep-2012 TO 10-Dec-2012 HAS BEEN FIXED AT 0.956000 PCT
|
|
DAY BASIS: ACTUAL/360
|
|
INTEREST PAYABLE VALUE 10-Dec-2012 WILL AMOUNT TO:
|
|
EUR 2.42 PER EUR 1,000.00 DENOMINATION
|
Exhibit No. 2
|
As Agent Bank, please be advised of the following rate determined on: 07/09/12
|
|||||||||||||||||||
Issue
|
¦ Barclays Bank PLC - Series 155 USD 500,000,000 Callable FRN due 11 Sep 2017
|
||||||||||||||||||
ISIN Number
|
¦ XS0229313696
|
||||||||||||||||||
ISIN Reference
|
¦ 22931369
|
||||||||||||||||||
Issue Nomin USD
|
¦ 500000000
|
||||||||||||||||||
Period
|
¦ 11/09/12 to 11/12/12
|
Payment Date 11/12/12
|
|||||||||||||||||
Number of Days
|
¦ 91
|
||||||||||||||||||
Rate
|
¦ 0.60775
|
||||||||||||||||||
Denomination USD
|
¦ 1000
|
¦ 500000000
|
¦
|
||||||||||||||||
Amount Payable per Denomination
|
¦ 1.54
|
¦ 768128.47
|
¦
|
||||||||||||||||
Bank of New York
|
|||||||||||||||||||
Rate Fix Desk
|
Telephone
|
¦ 44 1202 689580
|
|||||||||||||||||
Corporate Trust Services Facsimile
|
¦ 44 1202 689601
|
Exhibit No. 3
|
Investor Relations
|
Media Relations
|
Charlie Rozes
|
Giles Croot
|
+44 (0) 20 7116 5752
|
+44 (0) 20 7116 6132
|
Exhibit No. 4
|
|
1. On 7 September 2012, the Company was notified that an option had, on 5 September 2012, been granted under the Barclays Sharesave Scheme (Sharesave), a HM Revenue & Customs approved all-employee share plan, over ordinary shares in the capital of Barclays PLC (the 'Company') at an exercise price of 144 pence per share to the following Director:
|
Director
|
Number of Shares under Option
|
Maturity Date
|
Mr C G Lucas
|
6250
|
01/11/2015
|
|
2. In accordance with DTR 3.1.2R, on 10 September 2012 Mark Harding, a person discharging managerial responsibility, notified the Company that, on 10 September 2012, he and his connected persons had sold 67,193 ordinary shares in the capital of the Company at a price of 208.3 pence per share.
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Beneficial Holding
|
Non-Beneficial Holding
|
904,851
|
-
|
Exhibit No. 5
|
Description of Notes
|
ISIN Numbers
|
Aggregate Principal Amount Outstanding
|
Benchmark Rate
|
Fixed Spread
|
€2,000,000,000 4.875 per cent. Fixed Rate Notes due 2019
|
XS0445843526
|
€1,951,533,000
|
Euro interpolated Mid-Swap Rate
|
85 bps
|
£750,000,000 5.75 per cent. Fixed Rate Notes due 2021
|
XS0446381930
|
£723,574,000
|
Sterling interpolated Mid-Swap Rate
|
140 bps
|
|
Accrued Interest Payment
|
Date
|
Action
|
|
10 September 2012
|
Commencement of the Offers
|
|
Offers announced by way of announcements on the relevant Notifying News Service(s), through the Clearing Systems and via RNS.
|
||
Tender Offer Memorandum available from the Dealer Manager and the Tender Agent.
|
||
17 September 2012
11.00 p.m. London time
|
Expiration Deadline
Deadline for receipt by the Tender Agent of all Tender Instructions in order for Noteholders to be able to participate in the Offers and to be eligible to receive the relevant Purchase Price and Accrued Interest Payment on the Settlement Date.
|
|
18 September 2012 at or around 2.00 p.m. (London time)
|
Pricing Time
Determination of the Benchmark Rates (for the purpose of calculating the applicable Repurchase Yield and Purchase Price for each Series of Notes).
|
|
18 September 2012
As soon as reasonably practicable after the Pricing Time
|
Announcement of Result of Offers
Announcement of the Issuer's decision whether to accept valid tenders of Notes for purchase pursuant to any or all of the Offers (including, if applicable, the Settlement Date for such Offers).
|
|
Details of:
|
||
(i) the applicable Purchase Price, Accrued Interest, Repurchase Yield and Benchmark Rate for each Series of Notes;
|
||
(ii) the final aggregate principal amount of the Notes tendered pursuant to the Offers; and
|
||
(iii) the aggregate principal amount of Notes accepted for purchase pursuant to the Offers,
|
||
distributed by way of announcements on the relevant Notifying News Service(s), through the Clearing Systems and via RNS.
|
||
20 September 2012
|
Settlement
Expected Settlement Date for the Offers. Payment of relevant Purchase Price and Accrued Interest Payment in respect of the Offers.
|
Exhibit No. 6
|
Description of Notes
|
CUSIP/ISIN
|
Aggregate Principal Amount Outstanding
|
Fixed Spread (Basis Points)
|
Reference U.S. Treasury Security
|
Bloomberg Reference Page
|
US$2,000,000,000 6.75 per cent. Senior Notes due 2019
|
06739F FS5 / US06739FFS56
|
US$2,000,000,000
|
145
|
1.625% U.S. Treasury Note due 8/15/2022
|
BBT1
|
US$3,000,000,000 5.125 per cent. Senior Notes due 2020
|
06739G AR0 / US06739GAR02
|
US$2,824,000,000
|
140
|
1.625% U.S. Treasury Note due 8/15/2022
|
BBT1
|
|
Accrued Interest Payment
|
Time and Date
|
Event
|
September 10, 2012
|
Commencement of the Offers
Offers announced by way of the issue of a press release to one or more Notifying News Service(s) and via RNS.
Tender Offer Memorandum available from the Dealer Manager and the Tender Agent.
|
2:00 p.m. (New York City time) on September 17, 2012
|
Price Determination Time
The Dealer Manager will calculate the Purchase Price for each Series of Notes in the manner described in this Tender Offer Memorandum by reference to the applicable Fixed Spread over the yield to maturity, calculated by the Dealer Manager in accordance with standard market practice, of the applicable Reference U.S. Treasury Security, based on the bid side price of such Reference U.S. Treasury Security as displayed on Bloomberg Reference Page BBT1 (or, if such Bloomberg Reference Page is unavailable or manifestly erroneous, such other recognized quotation source as the Dealer Manager may in its sole and absolute discretion select).
After the determination of the Purchase Price for each Series of Notes, the Issuer will announce such Purchase Prices by way of the issue of a press release to one or more Notifying News Service(s).
|
11:59 p.m. (New York City time) on September 17, 2012
|
Expiration Deadline
Deadline for receipt by the Tender Agent of all Tender Instructions in order for Noteholders to be able to participate in the Offers and to be eligible to receive the relevant Purchase Price and Accrued Interest Payment on the Settlement Date.
|
September 18, 2012
|
Announcement of Result of Offers
Announcement of the Issuer's decision whether to accept valid tenders of Notes for purchase pursuant to any or all of the Offers (including, if applicable, the expected Settlement Date for such Offers) distributed by way of the issue of a press release to one or more Notifying News Service(s) and via RNS.
|
September 20, 2012
|
Settlement
Expected Settlement Date. Payment of the Purchase Price and any Accrued Interest Payment in respect of the Offers.
|
Exhibit No. 7
|
Exhibit No. 8
|
|
|
|
Barclays PLC
|
(the "Company")
|
|
Director/PDMR
|
No. of shares received
|
A Jenkins
|
218
|
R Ricci
|
1087
|
T Kalaris
|
1675
|
PDMR
|
No. of shares received
|
R Le Blanc
|
2154
|
Director/PDMR
|
No. of shares received
|
M Harding
|
165
|
A Jenkins
|
67
|
C Lucas
|
4377
|
Director/PDMR
|
No. of shares received
|
C Lucas
|
21
|
M Harding
|
15
|
R Le Blanc
|
1
|
PDMR
|
No. of shares received
|
Price
|
T Kalaris
T Kalaris
|
24,381
7,254
|
£2.0378 per share
£2.0582 per share
|
Director
|
Beneficial Holding
|
Non-Beneficial Holding
|
||
A Jenkins
|
1,581,619
|
-
|
||
C Lucas
|
909,249
|
-
|
||
Exhibit No. 9
|
Re:
|
BARCLAYS BANK PLC.
|
GBP 2,000,000,000.00
|
|
MATURING: 16-May-2018
|
|
ISIN: XS0398795574
|
|
PLEASE BE ADVISED THAT THE INTEREST RATE FOR THE PERIOD
|
|
17-Sep-2012 TO 16-Oct-2012 HAS BEEN FIXED AT 1.070000 PCT
|
|
DAY BASIS: ACTUAL/365(FIX)
|
|
INTEREST PAYABLE VALUE 16-Oct-2012 WILL AMOUNT TO:
|
|
GBP 42.51 PER GBP 50,000.00 DENOMINATION
|
Exhibit No. 10
|
Re:
|
BARCLAYS BANK PLC.
|
GBP 1,000,000,000.00
|
|
MATURING: 16-May-2019
|
|
ISIN: XS0398797604
|
|
PLEASE BE ADVISED THAT THE INTEREST RATE FOR THE PERIOD
|
|
17-Sep-2012 TO 16-Oct-2012 HAS BEEN FIXED AT 1.070000 PCT
|
|
DAY BASIS: ACTUAL/365(FIX)
|
|
INTEREST PAYABLE VALUE 16-Oct-2012 WILL AMOUNT TO:
|
|
GBP 42.51 PER GBP 50,000.00 DENOMINATION
|
Exhibit No. 11
|
Employee Share Scheme
|
Number Shares
|
Barclays Group Share Incentive Plan
|
15,000,000
|
Barclays Group Share Value Plan
|
261,000,000
|
Barclays Long Term Incentive Plan
|
20,000,000
|
Exhibit No. 12
|
Description of Notes
|
ISIN Numbers
|
Aggregate Principal Amount Outstanding
|
Aggregate Principal Amount accepted for Purchase
|
Benchmark Rate
|
Fixed Spread
|
Repurchase Yield
|
Purchase Price per €1,000 / £1,000 Principal Amount
|
Accrued Interest per €1,000 / £1,000 Principal Amount
|
€2,000,000,000 4.875 per cent. Fixed Rate Notes due 2019
|
XS0445843526
|
€1,951,533,000
|
€468,648,000
|
1.420%
|
85 bps
|
2.270%
|
€1,164.51
|
€5.08
|
£750,000,000 5.75 per cent. Fixed Rate Notes due 2021
|
XS0446381930
|
£723,574,000
|
£320,400,000
|
1.834%
|
140 bps
|
3.234%
|
£1,189.74
|
£5.36
|
Exhibit No. 13
|
Description of Notes
|
CUSIP/ISIN
|
Aggregate Principal Amount Outstanding
|
Aggregate Principal Amount Accepted for Purchase
|
Fixed Spread (Basis Points)
|
Yield on Reference U.S. Treasury Security
|
Purchase Price per US$1,000 Principal Amount
|
Accrued Interest per US$1,000 Principal Amount
|
US$2,000,000,000 6.75 per cent. Senior Notes due 2019
|
06739F FS5 / US06739FFS56
|
US$2,000,000,000
|
US$402,022,000
|
145
|
1.842%
|
US$1,205.57
|
US$22.13
|
US$3,000,000,000 5.125 per cent. Senior Notes due 2020
|
06739G AR0 / US06739GAR02
|
US$2,824,000,000
|
US$1,049,637,000
|
140
|
1.842%
|
US$1,121.48
|
US$10.25
|
Exhibit No. 14
|
As Agent Bank, please be advised of the following rate determined on: 9/20/2012
|
|||||||
Issue
|
¦ Barclays Bank PLC - Series no 86 EUR 100,000,000 Subordinated FRN due 22 Mar 2021
|
||||||
ISIN Number
|
¦ XS0126504421
|
||||||
ISIN Reference
|
¦ 12650442
|
||||||
Issue Nomin EUR
|
¦ 100000000
|
||||||
Period
|
¦ 41176 to 41267
|
Payment Date 41267
|
|||||
Number of Days
|
¦ 91
|
||||||
Rate
|
¦ 0.703
|
||||||
Denomination EUR
|
¦ 10000
|
¦ 100000000
|
¦
|
||||
Amount Payable per Denomination
|
¦ 17.77
|
¦ 177702.78
|
¦
|
Exhibit No. 15
|
As Agent Bank, please be advised of the following rate determined on: 9/20/2012
|
|||||||
Issue
|
¦ Barclays Bank PLC - Series 143 EUR 50,000,000 Floating Rate Notes due 23 Dec 2023
|
||||||
ISIN Number
|
¦ XS0183122398
|
||||||
ISIN Reference
|
¦ 18312239
|
||||||
Issue Nomin EUR
|
¦ 50000000
|
||||||
Period
|
¦ 41176 to 41267
|
Payment Date 41267
|
|||||
Number of Days
|
¦ 91
|
||||||
Rate
|
¦ 0.583
|
||||||
Denomination EUR
|
¦ 10000
|
¦ 50000000
|
¦
|
||||
Amount Payable per Denomination
|
¦ 14.74
|
¦ 73684.72
|
¦
|
Exhibit No. 16
|
Investor Relations
|
Media Relations
|
Charlie Rozes
|
Giles Croot
|
+44 (0) 20 7116 5752
|
+44 (0) 20 7116 6132
|
Exhibit No. 17
|
As Agent Bank, please be advised of the following rate determined on: 9/26/2012
|
|||||
Issue
|
¦ Barclays Bank PLC - Series 78 EUR 100,000,000 Subordinated FRN due 28 Dec 2040
|
||||
ISIN Number
|
¦ XS0122679243
|
||||
ISIN Reference
|
¦ 12267924
|
||||
Issue Nomin EUR
|
¦ 100000000
|
||||
Period
|
¦ 41180 to 41271
|
Payment Date 41271
|
|||
Number of Days
|
¦ 91
|
||||
Rate
|
¦ 0.612
|
||||
Denomination EUR
|
¦ 1000000
|
¦ 100000000
|
¦
|
||
Amount Payable per Denomination
|
¦ 1547
|
¦ 154700
|
¦
|