Notice of Redemption and Cancellation of Listing to the Holders of
This notice (the "Notice of Redemption") is in relation to
This notice (the "Redemption Notice") is in relation to
The Securities were issued pursuant to the trust deed, dated
The Company has notified the Holders, Trustee and the Principal Paying Agent that it elects to redeem and will redeem the Securities pursuant to Condition 5(b) of the Terms and Conditions of the Securities.
The Company hereby provides the following information in connection with such redemption:
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Redemption Date: |
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Securities to be Redeemed: |
The Company's: |
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Redemption Price: |
100% of the principal amount, together with any accrued but unpaid interest to (but excluding) the Redemption Date. |
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Location Where Holders May Surrender Documents of Title and Obtain Payment of the Redemption Price: |
EC4V 4LA
Email: corpsov2@bnymellon.com Fax: +44 (0) 20 7964 2536 |
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Before the Redemption Date, the Company will irrevocably deposit with the Trustee or with a Paying Agent the amount of money sufficient to pay the total Redemption Price of the Securities.
When the Company makes the deposit referred to in the preceding paragraph, all rights of Holders of the Securities will cease, except the Holders' rights to receive the Redemption Price, but without interest, and the Securities will no longer be outstanding.
Should any Holder of the Securities have any queries, please contact:
Barclays Debt Investor Relations
+44-20-7116-1000
Date:
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