UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, DC 20549
FORM 6-K
REPORT OF FOREIGN PRIVATE ISSUER
PURSUANT TO RULE 13A-16 OR 15D-16
UNDER THE SECURITIES EXCHANGE ACT OF 1934
June 2008
Barclays PLC and
Barclays Bank PLC
(Names of Registrants)
1 Churchill Place
London E14 5HP
England
(Address of Principal Executive Offices)
Indicate by check mark whether the registrant files or will file annual
reports
under cover of Form 20-F or Form 40-F.
Form 20-F x Form 40-F
Indicate by check mark whether the registrant by furnishing the
information
contained in this Form is also thereby furnishing the information to the
Commission pursuant to Rule 12g3-2(b) under the Securities Exchange Act of 1934.
Yes No x
If "Yes" is marked, indicate below the file number assigned to the
registrant
in connection with Rule 12g3-2(b):
This Report is a joint Report on Form 6-K filed by Barclays PLC and Barclays
Bank PLC. All of the issued ordinary share capital of Barclays Bank PLC is
owned by Barclays PLC.
This Report comprises:
Information given to The London Stock Exchange and furnished pursuant
to
General Instruction B to the General Instructions to Form 6-K.
EXHIBIT INDEX
1. Partial Repurchase announcement dated 02 May 2008
2. Holding(s) in Company announcement dated 02 May 2008
3. Partial Repurchase announcement dated 06 May 2008
4. Partial Repurchase announcement dated 06 May 2008
5. Partial Repurchase announcement dated 08 May 2008
6. Director/PDMR Shareholding announcement dated 09 May 2008
7. Partial Repurchase announcement dated 09 May 2008
8. Investor Conference Speech announcement dated 12 May 2008
9. Holding(s) in Company announcement dated 12 May 2008
10. Full Repurchase announcement dated 13 May 2008
11. Partial Repurchase announcement dated 13 May 2008
12. Partial Repurchase announcement dated 14 May 2008
13. Partial Repurchase announcement dated 14 May 2008
14. Director/PDMR Shareholding announcement dated 15 May 2008
15. Form 20-F Annual Report announcement dated 21 May 2008
16. Partial Repurchase announcement dated 21 May 2008
17. FRN Variable Rate Fix announcement dated 21 May 2008
18. Full Repurchase and Early Redemption announcement dated 21 May 2008
19. Partial Repurchase announcement dated 21 May 2008
20. Full Early Redemption announcement dated 21 May 2008
21. Partial Repurchase announcement dated 22 May 2008
22. Publication of Prospectus announcement dated 27 May 2008
23. Partial Repurchase announcement dated 28 May 2008
24. FRN Variable Rate Fix announcement dated 28 May 2008
25. Total Voting Rights announcement dated 30 May 2008
SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934, each of the registrants has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
BARCLAYS PLC
(Registrant)
Date: June 05, 2008
By: /s/ Patrick
Gonsalves
----------------------
Patrick Gonsalves
Deputy Secretary
BARCLAYS BANK PLC
(Registrant)
Date: June 05, 2008
By: /s/ Patrick Gonsalves
----------------------
Patrick Gonsalves
Joint Secretary
Exhibit 1
Barclays Bank PLC BARCLAYS - Series 9271 - ISIN XS0303563737 - Maturity Date 7 JULY 2008 - DKK 708,871,000 Please be advised the following issue has been repurchased for DKK 10,000,000 on 30 APRIL 2008. The outstanding balance will therefore be DKK 698,871,000 Please amend your records accordingly.
Exhibit 2 BARCLAYS PLC Notification of Major Interests in Shares TR-1: NOTIFICATION OF MAJOR INTERESTS IN SHARES 1.Identity of the issuer or the underlying issuer of existing shares to which voting rights are attached: Barclays PLC 2. Reason for the notification (please tick the appropriate box or boxes): An acquisition or disposal of voting rights 3. Full name of person(s) subject to the notification obligation: Appleby Trust (Jersey) Limited in its capacity as trustee of the Barclays Group (ESAS) Employees' Benefit Trust and the Barclays Group (PSP) Employees' Benefit Trust 4. Full name of shareholders(s) (if different from 3.): Greenwood Nominees Limited - acting as custodian 5. Date of the transaction and date on which the threshold is crossed or reached: 5 September 2007 6. Date on which the issuer notified: TR-1 submitted on 1 May 2008 7. Thresholds(s) that is/are crossed or reached: 3% 8. Notified Details: 8A: Voting rights attached to shares Class/type of shares Ord GBP 25p (ISIN CODE: GB0031348658) Situation previous to the Triggering transaction Number of shares Number of Voting Rights 203,767,198 203,767,198 Resulting situation after the triggering transaction: Number of shares Number of Voting Rights % of voting rights Direct Indirect Direct Indirect 206,632,598 206,632,598 N/a 3.02% N/a 8B: Financial Instruments Type of financial Expiration date Number of % of instrument voting rights voting rights N/a N/a N/a N/a TOTAL (A+B) Number of voting rights % of voting rights 206,632,598 3.02% 9.Chain of controlled undertakings through which the voting rights and/or the financial instruments are effectively held, if applicable: Not disclosed Proxy Voting: 10.Name of proxy holder: Not disclosed 11.Number of voting rights proxy holder will cease to hold: Not disclosed 12.Date on which proxy holder will cease to hold voting rights: Not disclosed 13.Additional information: It is our normal practice to abstain from voting in relation to our holding Contact name for enquiries: Lawrence Dickinson Company Secretary 020 7116 8099 2 May 2008
Exhibit 3
Barclays Bank PLC Barclays - Series 11538 - ISIN XS0336680235 ---------------------------------------------------------------------- Maturity Date 27 July 2009 - O/S Nominal EUR 2,183,000 ---------------------------------------------------------------------- Please be advised the following issue has been repurchased for EUR 3,000 on 01 May 2008. The outstanding balance will therefore be EUR 2,180,000 ----------------------------------------------------------------------
Exhibit 4
Barclays Bank PLC Barclays - Series 2007 - CK - ISIN XS0326034591 ---------------------------------------------------------------------- Maturity Date 12 October 2012 - O/S Nominal EUR 39,700,000 ---------------------------------------------------------------------- Please be advised the following issue has been repurchased for EUR 4,700,000 on 02 May 2008. The outstanding balance will therefore be EUR 35,000,000 ----------------------------------------------------------------------
Exhibit 5
Barclays Bank PLC BARCLAYS - Series 2007-CK - ISIN XS0326034591 - Maturity Date 12 OCTOBER 2012 - EUR 40,300,000 Please be advised the following issue has been repurchased for EUR 600,000 on 23 APRIL 2008. The outstanding balance will therefore be EUR 39,700,000 Please amend your records accordingly.
Exhibit 6
9 May 2008 Director/PDMR shareholding: Disclosure and Transparency Rules 3.1.4R(1)(a) 1. The trustee of the Barclays Group Sharepurchase Plan ("the Plan"), a HM Revenue and Customs approved all-employee share plan, informed Barclays PLC ("the Company") on 8 May 2008 that it had on 7 May 2008 purchased, and now held as bare trustee of the Plan, the following ordinary shares in the capital of the Company for the following directors who are Persons Discharging Managerial Responsibilities (PDMRs) at a price of 476.95p per share: Director/PDMR Number of Shares Mr C G Lucas 439 Mr G A Hoffman 439 Mr F F Seegers 440 Mr J S Varley 439 The Plan includes Matching Shares provided by the Company on a 1:1 basis up to the first �600 per annum invested by the participant under the Plan. The number of shares purchased on 7 May 2008 for each director/PDMR above includes any Matching Shares. 2. The Company was notified on 9 May 2008 by the Personal Equity Plan (PEP) / Individual Savings Account (ISA) Administrators that on 29 April 2008 the following director (or his connected persons) had received ordinary shares in the Company, following the reinvestment of the Barclays dividend for the year ended 31 December 2007 at a price of 463.50p per share. The number of shares received, together with his total beneficial interest following the notification is as follows: Director No. of shares received Mr S G Russell 136 The Company was also notified on 9 May 2008 by the Personal Equity Plan (PEP) / Individual Savings Account (ISA) Administrators that on 2 May 2008 the following directors/Persons Discharging Managerial Responsibilities (PDMRs) (or their connected persons) had received ordinary shares in the Company, following the reinvestment of the Barclays dividend for the year ended 31 December 2007 at a price of 478.50p per share. The number of shares received, together with their total beneficial interests following the notification are as follows: Director/PDMR No. of shares received Mr G A Hoffman 515 The revised total shareholding for each director following these transactions is as follows: Director Beneficial Holding Non Beneficial Holding Mr C G Lucas 60,598 - Mr G A Hoffman 447,046 - Mr S G Russell 22,920 - Mr F F Seegers 700,310 - Mr J S Varley 488,352 -
Exhibit 7
Barclays Bank PLC Barclays - Series 8958 - ISIN XS0299037860 Maturity Date 12 May 2008 - O/S Nominal USD 5,000,000 Please be advised the following has been repurchased for USD 3,890,000 on 30 April 2008 The outstanding balance will therefore be USD 1,110,000 Please amend your records accordingly.
Exhibit 8
Exhibit 9
1.
Identity of the
i
ssuer or
the underlying issuer of
existing shares to which voting rights are
attached:
|
Barclays Plc
|
|
2. Reason for
notification
(yes/no)
|
||
An acquisition or disposal of voting
rights
|
Yes
|
|
An acquisition or disposal of financial
instruments which may result in the acquisition of shares
already issued to which voting rights are attached
|
|
|
An event changing the breakdown of voting
rights
|
|
|
Other (please specify):______________
|
|
|
3. Full name of
person
(s)
subject to the notification
obligation:
|
Legal & General Group Plc (Group)
Legal & General Investment Management Limited (LGIM)
|
|
4. Full name of
shareholder
(s)
(if different from 3.):
|
Legal & General Assurance (Pensions Management) Limited (PMC)
Legal & General Group Plc (
L&G
)
|
|
5. Date of the
transaction
(and date on which the threshold is crossed
or reached if different):
|
08 May 2008
|
|
6. Date on which issuer
notified:
|
09 May 2008
|
|
7. Threshold(s) that is/are crossed
or reached:
|
Above 5% (Group)
Above 5% (LGIM)
|
8. Notified details:
|
A:
Voting rights attached to
shares
|
|||||||
Class/type of shares
if possible using the ISIN CODE
|
Situation previous to
the
Triggering
transaction
|
Resulting situation after the
triggering transaction
|
|||||
Number of
Shares
|
Number of Voting
Rights
|
Number of
shares
|
Number of voting
rights
|
% of voting rights
|
|||
Direct
|
Indirect
|
Direct
|
Indirect
|
||||
ORD
GBP0.25
|
Below 5%
|
330,460,896
|
308,688,639
|
21,772,257
|
4.70
|
0.33
|
B:
Financial
Instruments
|
||||
Resulting situation after the
triggering transaction
|
||||
Type of financial
instrument
|
Expiration date
|
Exercise/
Conversion Period/
Date
|
Number of voting
rights
that may be acquired if the
instrument is exercised/ converted.
|
% of voting rights
|
|
|
|
|
|
Total (A+B)
|
|
Number of voting
rights
|
% of voting rights
|
330,460,896
|
5.03
|
9. Chain of controlled undertakings
through which the voting rights and/or the financial
instruments are effectively held, if
applicable:
|
|
Legal & General G
roup Plc (Direct and Indirect)
(Group)
(
330,460,896
-
5.03
% = Total Position)
|
|
|
Legal & General Investment
Management (Holdings) Limited (LGIMH)
(Direct and Ind
irect)
(
330,460,896 - 5.03
% = Total Position)
|
|
|
Legal & General Investment Management Limited
(Indirect)
(LGIM)
(
330,460,896 - 5.03
% = Total Position)
|
|
|
Legal & General Group Plc (Direct)
(
L&G
)
(
308,688,639
-
4.70
%
= LGAS, LGPL & PMC)
|
||
Legal & General Investment Management
(Holdings) Limited (Direct)
(LGIMHD)
(
262,216,392
-
3.99
% = PMC)
|
Legal & General Insurance Holdings Limited
(Direct)
(
LGIH
)
|
|
Legal & General Assurance (Pensions Management) Limited
(PMC)
(
262,216,392 - 3.99
% = PMC)
)
|
Legal & General Assurance Society Limited (LGAS &
LGPL)
|
|
|
Legal & General Pensions Limited
(Direct)
(LGPL)
|
Proxy Voting:
|
|
10. Name of the proxy
holder:
|
N/A
|
11. Number of voting rights proxy
holder will cease to hold:
|
N/A
|
12. Date on which proxy holder will
cease to hold voting rights:
|
N/A
|
13. Additional
information:
|
Notification using
the total voting rights
figure of
6,567,565,352
|
14. Contact name:
|
Lawrence Dickinson, Company Secretary
|
15. Contact telephone
number:
|
020 7116 8099
|
Exhibit 10
Barclays Bank PLC
Barclays - Series 9984 - ISIN XS0312698060
Maturity Date 30 July 2027 - O/S Nominal USD 1,500,000
Please be advised the following issue has been repurchased for USD 1,500,000
on
08 May 2008
The outstanding balance will therefore be Zero.
Please amend your records accordingly.
Exhibit 11
Barclays Bank PLC
Barclays - Series 10274 - ISIN XS0316396034
Maturity Date 16 August 2010 - O/S Nominal GBP 664,000,000
Please be advised the following issue has been repurchased for
GBP 5,000,000 on 08 May 2008
The outstanding balance will therefore be GBP 659,000,000
Please amend your records accordingly.
Exhibit 12
Barclays Bank PLC
Barclays - Series 6125 - ISIN XS0250265864
Maturity Date 12 May 2008 - O/S Nominal SEK 59,650,000
Please be advised the following issue has been repurchased for SEK 27,700,000 on
07 May 2008
The outstanding balance will therefore be SEK 31,950,000
Please amend your records accordingly.
Exhibit 13
Barclays Bank PLC
Barclays - Series S064 - ISIN XS0253964562
Maturity Date 13 May 2008 - O/S Nominal: GBP 1,500,000
Please be advised the following issue has been repurchased for GBP 1,206,000 and
GBP 8,000 on 12 May 2008
The outstanding balance will therefore be GBP 286,000
Please amend your records accordingly.
Exhibit 14
Director/PDMR
|
No. of shares received
|
G A Hoffman
|
115
|
C G Lucas
|
15
|
F F Seegers
|
32
|
J S Varley
|
115
|
Exhibit 15
Exhibit 16
Exhibit 17
Barclays Bank
Plc
RATE FIX NOTICE
Issue
Name:
Barclays Bank PLC
USD 600,000,000.00 Junior Undated
Floating Rate Notes
ISIN
Code: GB0000784164
Interest
Rate:
3.187500%
Base
Rate: 2.937500%
Interest
Period:
16-May-08 to 17-Nov-08
Day Count Method:
Actual/360
Number of Days in Period: 185
Payment
Date:
17-Nov-08
Denomination:
Coupon:
----------------------------- ----------------------------------------
5,000.00
USD
81.90
50,000.00
USD
819.01
Exhibit 18
Barclays Bank
Plc. - ISIN XS0347790668
Maturity Date 23 Feb 2009 - O/S Nominal EUR 5,000,000
Please be advised the following issue has been repurchased for EUR 2,380,000 on
16 May 08 and then will be called due to early redemption on 22 May 08
The outstanding balance will therefore be zero.
Please amend your records accordingly.
Exhibit 19
Barclays Bank PLC
Barclays - Series 6198 - ISIN XS0251181383
Maturity Date 22 May 2008 - O/S Nominal SEK 63,550,000
Please be advised the following issue been repurchased for SEK 33,650,000 on 20
May 2008
The outstanding balance will therefore be SEK 29,900,000
Exhibit 20
Barclays Bank PLC
Barclays Bank Plc. - ISIN XS0347775438
Maturity Date 23 Feb 09 - O/S Nominal EUR 5,000,000
Please be advised the following issue has been repurchased for EUR 2,380,000 on
19 May 08 and then will be called due to early redemption on 22 May 08
The outstanding balance will therefore be Zero.
Exhibit 21
Barclays Bank PLC
BARCLAYS - Series 7939 - ISIN XS0282895704 - Maturity Date 16 FEBRUARY
2009 -
CZK 301,000,000
Please be advised the following issue has been repurchased for CZK 2,500,000
on
14 MAY 2008.
The outstanding balance will therefore be CZK 298,500,000
Please amend your records accordingly.
Exhibit 22
Publication of Prospectus
The following base prospectus supplement has been approved by the UK Listing Authority and is available for viewing:
Base Prospectus Supplement dated 23 May 2008 for the Barclays Bank PLC £30,000,000,000 Debt Issuance Programme
To view the full document, please paste the following URL into the address bar of your browser.
http://www.rns-pdf.londonstockexchange.com/rns/2780V_1-2008-5-27.pdf
For further information, please contact
Barclays Treasury
1 Churchill Place
Canary Wharf
London E14 5HP
DISCLAIMER - INTENDED ADDRESSEES
Please note that the information contained in the Prospectus may be addressed to and/or targeted at persons who are residents of particular countries (specified in the Prospectus) only and is not intended for use and should not be relied upon by any person outside these countries and/or to whom the offer contained in the Prospectus is not addressed. Prior to relying on the information contained in the Prospectus you must ascertain from the Prospectus whether or not you are part of the intended addressees of the information contained therein.
Any Notes issued or to be issued pursuant to the Prospectus have not been and will not be registered under the United States Securities Act of 1933, as amended (the "Securities Act"), or any relevant securities laws of any state of the United States and are subject to U.S. tax law requirements. Subject to certain exceptions, such Notes may not be offered, sold or delivered in the United States or to or for the account or benefit of U.S. persons, as such terms are defined in Regulation S under the Securities Act.
Your right to access this service is conditional upon complying with the above requirement.
Exhibit 24
Barclays Bank
PLC
RATE FIX NOTICE
Issue
Name:
Barclays Bank Plc
Series 151
USD 1,500,000,000.00 Callable Floating
Rate Subordinated Notes
due 2015
ISIN
Code:
XS0213053910
Interest
Rate:
2.838130%
Base
Rate:
2.638130%
Interest
Period:
27-May-08 to 26-Aug-08
Day Count
Method:
Actual/360
Number of Days in Period: 91
Payment
Date:
26-Aug-08
Denomination:
Coupon:
------------------------------
---------------------------------------
1,000.00
USD
7.17
10,000.00
USD
71.74
100,000.00
USD
717.42
Exhibit 25