Exhibit No. 1
|
FRN Variable Rate Fix dated 1 July 2011
|
Exhibit No. 2
|
FRN Variable Rate Fix dated 11 July 2011
|
Exhibit No. 3
|
FRN Variable Rate Fix dated 12 July 2011
|
Exhibit No. 4
|
FRN Variable Rate Fix dated 13 July 2011
|
Exhibit No. 5
|
Holding(s) in Company dated 13 July 2011
|
Exhibit No. 6
|
FRN Variable Rate Fix dated 15 July 2011
|
Exhibit No. 7
|
FRN Variable Rate Fix dated 19 July 2011
|
Exhibit No. 8
|
FRN Variable Rate Fix dated 19 July 2011
|
Exhibit No. 9
|
FRN Variable Rate Fix dated 26 July 2011
|
Exhibit No. 10
|
FRN Variable Rate Fix dated 27 July 2011
|
Exhibit No. 11
|
FRN Variable Rate Fix dated 29 July 2011
|
Exhibit No. 12
|
Total Voting Rights dated 29 July 2011
|
Exhibit No. 13
|
Blocklisting Interim Review dated 29 July 2011
|
Exhibit No. 14
|
Blocklisting Interim Review dated 29 July 2011
|
Exhibit No. 15
|
Blocklisting Interim Review dated 29 July 2011
|
Exhibit No. 16
|
Blocklisting Interim Review dated 29 July 2011
|
Exhibit No. 17
|
Blocklisting Interim Review dated 29 July 2011
|
Exhibit No. 18
|
Blocklisting Interim Review dated 29 July 2011
|
Exhibit No. 19
|
Blocklisting Interim Review dated 29 July 2011
|
Exhibit No. 20
|
Blocklisting Interim Review dated 29 July 2011
|
Exhibit No. 21
|
Blocklisting Interim Review dated 29 July 2011
|
Exhibit No. 22
|
Blocklisting Interim Review dated 29 July 2011
|
As Agent Bank, please be advised of the following rate determined on: 01/07/11
|
||||||||
Issue
|
¦ Barclays Bank Plc - Series 172 - USD 2,000,000,000 FRN due 5 December 2011
|
|||||||
ISIN Number
|
¦ XS0403958571
|
|||||||
ISIN Reference
|
¦ 40395857
|
|||||||
Issue Nomin USD
|
¦ 2,000,000,000
|
|||||||
Period
|
¦ 05/07/11 to 05/08/11
|
Payment Date 05/08/11
|
||||||
Number of Days
|
¦ 31
|
|||||||
Rate
|
¦ 1.23505
|
|||||||
Denomination USD
|
¦ 50,000
|
¦ 1,000
|
¦
|
|||||
Amount Payable per Denomination
|
¦ 53.18
|
¦ 1.06
|
¦
|
|||||
Bank of New York
|
||||||||
Rate Fix Desk
|
Telephone
|
¦ 44 1202 689580
|
||||||
Corporate Trust Services
|
Facsimile
|
¦ 44 1202 689601
|
As Agent Bank, please be advised of the following rate determined on: 11/07/11
|
||||||||
Issue
|
¦ Barclays Bank Plc - Series 180 - USD 250,000,000 FRN due 13 Jan 2012
|
|||||||
ISIN Number
|
¦ XS0408595352
|
|||||||
ISIN Reference
|
¦ 40859535
|
|||||||
Issue Nomin USD
|
¦ 250,000,000
|
|||||||
Period
|
¦ 13/07/11 to 13/10/11
|
Payment Date 13/10/11
|
||||||
Number of Days
|
¦ 92
|
|||||||
Rate
|
¦ 0.77605
|
|||||||
Denomination USD
|
¦ 100,000
|
¦
|
¦
|
|||||
Amount Payable per Denomination
|
¦ 198.32
|
¦
|
¦
|
|||||
Bank of New York
|
||||||||
Rate Fix Desk
|
Telephone
|
¦ 44 1202 689580
|
||||||
Corporate Trust Services
|
Facsimile
|
¦ 44 1202 689601
|
As Agent Bank, please be advised of the following rate determined on: 12/07/11
|
||||||||
Issue
|
¦ Barclays Bank Plc - Series 200 - USD 475,000,000 Guaranteed FRN Due 14 Apr 2012
|
|||||||
ISIN Number
|
¦ XS0440449865
|
|||||||
ISIN Reference
|
¦ US06738G7S32
|
|||||||
Issue Nomin USD
|
¦ 475,000,000
|
|||||||
Period
|
¦ 14/07/11 to 14/10/11
|
Payment Date 14/10/11
|
||||||
Number of Days
|
¦ 92
|
|||||||
Rate
|
¦ 0.519
|
|||||||
Denomination USD
|
¦ 1,000
|
¦
|
¦
|
|||||
Amount Payable per Denomination
|
¦ 1.33
|
¦
|
¦
|
|||||
Bank of New York
|
||||||||
Rate Fix Desk
|
Telephone
|
¦ 44 1202 689580
|
||||||
Corporate Trust Services
|
Facsimile
|
¦ 44 1202 689601
|
As Agent Bank, please be advised of the following rate determined on: 13/07/11
|
||||||||
Issue
|
¦ Barclays Bank Plc - Series 178 - GBP 2,000,000,000 FRN due 13 Jan 2012
|
|||||||
ISIN Number
|
¦ XS0408286994
|
|||||||
ISIN Reference
|
¦ 40828699
|
|||||||
Issue Nomin GBP
|
¦ 2,000,000,000
|
|||||||
Period
|
¦ 13/07/11 to 13/10/11
|
Payment Date 13/10/11
|
||||||
Number of Days
|
¦ 92
|
|||||||
Rate
|
¦ 1.07719
|
|||||||
Denomination GBP
|
¦ 100,000
|
¦ 2,000,000,000
|
¦
|
|||||
Amount Payable per Denomination
|
¦ 271.51
|
¦ 5,430,218.08
|
¦
|
|||||
Bank of New York
|
||||||||
Rate Fix Desk
|
Telephone
|
¦ 44 1202 689580
|
||||||
Corporate Trust Services
|
Facsimile
|
¦ 44 1202 689601
|
TR-1: NOTIFICATION OF MAJOR INTEREST IN SHARESi
|
|||||
1. Identity of the issuer or the underlying issuer of existing shares to which voting rights are
attached:ii
|
Barclays PLC
|
||||
2 Reason for the notification
(please tick the appropriate box or boxes):
|
|||||
An acquisition or disposal of voting rights
|
|||||
An acquisition or disposal of qualifying financial instruments which may result in the acquisition of shares already issued to which voting rights are attached
|
|||||
An acquisition or disposal of instruments with similar economic effect to qualifying financial instruments
|
ü
|
||||
An event changing the breakdown of voting rights
|
|||||
Other (please specify):
|
|||||
3. Full name of person(s) subject to the notification obligation:iii
|
His Highness Sheikh Mansour Bin Zayed Al Nahyan ("HHSM")
|
||||
4. Full name of shareholder(s) (if different from 3.):iv
|
Yas Capital Limited ("YCL")
|
||||
5. Date of the transaction and date on which the threshold is crossed or reached:v
|
Transaction date: 27 April 2011
Date threshold crossed: 8 July 2011
|
||||
6. Date on which issuer notified:
|
12 July 2011
|
||||
7. Threshold(s) that is/are crossed or reached:vi, vii
|
7%
|
||||
8. Notified details:
|
||||||||||||||||
A: Voting rights attached to shares viii, ix
|
||||||||||||||||
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 x
|
||||||||||||
Direct
|
Direct
xi
|
Indirect
xii
|
Direct
|
Indirect
|
||||||||||||
Ordinary shares
|
758,437,618
|
758,437,618
|
Nil
|
Nil
|
758,437,618
|
Nil%
|
6.22%
|
|||||||||
ISIN GB0031348658
|
||||||||||||||||
B: Qualifying Financial Instruments
|
||||||||||||||||
Resulting situation after the triggering transaction
|
||||||||||||||||
Type of financial
instrument
|
Expiration
date
xiii
|
Exercise/
Conversion Period
xiv
|
Number of voting
rights that may be
acquired if the
instrument is
exercised/ converted.
|
% of voting
rights
|
||||||||||||
C: Financial Instruments with similar economic effect to Qualifying Financial Instruments xv, xvi
|
||||||||||||||||
Resulting situation after the triggering transaction
|
||||||||||||||||
Type of financial
instrument
|
Exercise price
|
Expiration date
xvii
|
Exercise/
Conversion period
xviii
|
Number of voting rights instrument refers to
|
% of voting rights
xix, xx
|
|||||||||||
Cash-settled options referencing ordinary shares
|
93,146,946
|
Nominal
|
Delta
|
|||||||||||||
0.76%
|
||||||||||||||||
Total (A+B+C)
|
||||||||||||||||
Number of voting rights
|
Percentage of voting rights
|
|||||||||||||||
851,584,564
|
6.98%
|
|||||||||||||||
9. Chain of controlled undertakings through which the voting rights and/or the financial instruments are effectively held, if applicable:xxi
|
||
The cash-settled options are legally owned by YCL. YCL is, in turn, wholly owned by HHSM.
The triggering event is the reduction in the total voting rights deemed to be held by YCL under the cash-settled options (pursuant to DTR 5.3.1R) below 94,816,819 to 93,146,946. Accordingly, as a result of the triggering event, YCL is deemed to hold directly, and HHSM is deemed to hold indirectly, 0.76% of the voting rights in Barclays PLC through YCL's total holding of cash-settled options.
For the avoidance of doubt, YCL has no right to acquire or exercise any voting rights in Barclays PLC.
The indirect holding by HHSM of the cash-settled options, when aggregated with HHSM's pre-existing indirect holding of ordinary shares (which has been the subject of previous notifications), now falls below the 7% threshold for voting rights that is notifiable by HHSM pursuant to DTR 5.1.2R.
|
||
Proxy Voting:
|
||
10. Name of the proxy holder:
|
||
11. Number of voting rights proxy holder will cease to hold:
|
||
12. Date on which proxy holder will cease to hold voting rights:
|
||
13. Additional information:
|
As required under the Disclosure Rules, this notification has been prepared using the total voting rights figure of 12,189,349,090 as set out in the regulatory announcement made by Barclays PLC dated 30 June 2011.
|
|
14. Contact name:
|
Michael Latefi
|
|
15. Contact telephone number:
|
+971.566.852.568
|
|
As Agent Bank, please be advised of the following rate determined on: 15/07/11
|
||||||||
Issue
|
¦ Barclays Bank Plc - Series 175 - USD 2,000,000,000 FRN due 19 December 2011
|
|||||||
ISIN Number
|
¦ XS0406399427
|
|||||||
ISIN Reference
|
¦ 40639942
|
|||||||
Issue Nomin USD
|
¦ 2,000,000,000
|
|||||||
Period
|
¦ 19/07/11 to 19/08/11
|
Payment Date 19/08/11
|
||||||
Number of Days
|
¦ 31
|
|||||||
Rate
|
¦ 1.1365
|
|||||||
Denomination USD
|
¦ 100,000
|
¦ 2,000,000,000
|
¦ 1,000
|
|||||
Amount Payable per Denomination
|
¦ 97.87
|
¦ Pok1,957,305.56
|
¦ XS0406399427
|
|||||
Bank of New York
|
||||||||
Rate Fix Desk
|
Telephone
|
¦ 44 1202 689580
|
||||||
Corporate Trust Services
|
Facsimile
|
¦ 44 1202 689601
|
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
|
|
18-Jul-2011 TO 16-Aug-2011 HAS BEEN FIXED AT 1.18 PCT
|
|
DAY BASIS: ACTUAL/365(FIX)
|
|
INTEREST PAYABLE VALUE 16-Aug-2011 WILL AMOUNT TO:
|
|
GBP 46.85 PER GBP 50,000.00 DENOMINATION
|
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
|
|
18-Jul-2011 TO 16-Aug-2011 HAS BEEN FIXED AT 1.18 PCT
|
|
DAY BASIS: ACTUAL/365(FIX)
|
|
INTEREST PAYABLE VALUE 16-Aug-2011 WILL AMOUNT TO:
|
|
GBP 46.85 PER GBP 50,000.00 DENOMINATION
|
As Agent Bank, please be advised of the following rate determined on: 26/07/11
|
||||||||
Issue
|
¦ Barclays Bank Plc - Series 203 - EUR 2,560,000,000 FRN due 28 Jan 2013
|
|||||||
ISIN Number
|
¦ XS0459903620
|
|||||||
ISIN Reference
|
¦ 045990362
|
|||||||
Issue Nomin EUR
|
¦ 2,560,000,000
|
|||||||
Period
|
¦ 28/07/11 to 28/10/11
|
Payment Date 28/10/11
|
||||||
Number of Days
|
¦ 92
|
|||||||
Rate
|
¦ 2.415
|
|||||||
Denomination EUR
|
¦ 1,000
|
¦ 50,000
|
¦ 2,560,000,000
|
|||||
Amount Payable per Denomination
|
¦ 6.17
|
¦ Pok308.58
|
¦ XS0459903620
|
|||||
Bank of New York
|
||||||||
Rate Fix Desk
|
Telephone
|
¦ 44 1202 689580
|
||||||
Corporate Trust Services
|
Facsimile
|
¦ 44 1202 689601
|
As Agent Bank, please be advised of the following rate determined on: 27/07/11
|
||||||||
Issue
|
¦ Barclays Bank Plc - GBP 200,000,000 Undated FRPC Notes Series 3 PERPETUAL
|
|||||||
ISIN Number
|
¦ XS0015014615
|
|||||||
ISIN Reference
|
¦ 01501461
|
|||||||
Issue Nomin GBP
|
¦ 200,000,000
|
|||||||
Period
|
¦ 29/07/11 to 31/10/11
|
Payment Date 31/10/11
|
||||||
Number of Days
|
¦ 94
|
|||||||
Rate
|
¦ 1.8125
|
|||||||
Denomination GBP
|
¦ 250,000
|
¦
|
¦
|
|||||
Amount Payable per Denomination
|
¦ 1,166.95
|
¦
|
¦
|
|||||
Bank of New York
|
||||||||
Rate Fix Desk
|
Telephone
|
¦ 44 1202 689580
|
||||||
Corporate Trust Services
|
Facsimile
|
¦ 44 1202 689601
|
As Agent Bank, please be advised of the following rate determined on: 29/07/11
|
||||||||
Issue
|
¦ Barclays Bank Plc - Series 183 - GBP 333,000,000 FRN due 30 Jan 2012
|
|||||||
ISIN Number
|
¦ XS0411706897
|
|||||||
ISIN Reference
|
¦ 41170689
|
|||||||
Issue Nomin GBP
|
¦ 333,000,000
|
|||||||
Period
|
¦ 29/07/11 to 31/10/11
|
Payment Date 31/10/11
|
||||||
Number of Days
|
¦ 94
|
|||||||
Rate
|
¦ 1.21281
|
|||||||
Denomination GBP
|
¦ 50,000
|
¦ 333,000,000
|
¦
|
|||||
Amount Payable per Denomination
|
¦ 156.17
|
¦ 1,040,092.56
|
¦
|
|||||
Bank of New York
|
||||||||
Rate Fix Desk
|
Telephone
|
¦ 44 1202 689580
|
||||||
Corporate Trust Services
|
Facsimile
|
¦ 44 1202 689601
|
Name of applicant:
|
BARCLAYS PLC
|
|||
Name of scheme:
|
Barclays Group Share Value Plan
|
|||
Period of return:
|
From:
|
01.01.11
|
To:
|
30.06.11
|
Balance of unallotted securities under scheme(s) from previous return:
|
0
|
|||
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for):
|
175,000,000 ordinary shares of 0.25p each
|
|||
Less: Number of securities issued/allotted under scheme(s) during period (see LR3.5.7G):
|
0
|
|||
Equals: Balance under scheme(s) not yet issued/allotted at end of period:
|
175,000,000
|
|||
Name of contact:
|
Louise Benton
|
Telephone number of contact:
|
0207 116 2915
|
Name of applicant:
|
BARCLAYS PLC
|
|||
Name of scheme:
|
Barclays Long Term Incentive Plan
|
|||
Period of return:
|
From:
|
01.01.11
|
To:
|
30.06.11
|
Balance of unallotted securities under scheme(s) from previous return:
|
0
|
|||
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for):
|
8,400,000 ordinary shares of 0.25p each
|
|||
Less: Number of securities
issued/allotted under scheme(s) during period (see LR3.5.7G):
|
0
|
|||
Equals: Balance under scheme(s) not yet issued/allotted at end of period:
|
8,400,000
|
|||
Name of contact:
|
Louise Benton
|
Telephone number of contact:
|
0207 116 2915
|
Name of applicant:
|
BARCLAYS PLC
|
|||
Name of scheme:
|
Warrants to subscribe for ordinary shares
|
|||
Period of return:
|
From:
|
01.01.11
|
To:
|
30.06.11
|
Balance of unallotted securities under scheme(s) from previous return:
|
379,218,809 ordinary shares of 0.25p each
|
|||
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for):
|
0
|
|||
Less: Number of securities issued/allotted under scheme(s) during period (see LR3.5.7G):
|
0
|
|||
Equals: Balance under scheme(s) not yet issued/allotted at end of period:
|
379,218,809
|
|||
Name of contact:
|
Louise Benton
|
Telephone number of contact:
|
0207 116 2915
|
Name of applicant:
|
BARCLAYS PLC
|
|||
Name of scheme:
|
Barclays Incentive Share Option Plan
|
|||
Period of return:
|
From:
|
01.01.11
|
To:
|
30.06.11
|
Balance of unallotted securities under scheme(s) from previous return:
|
3,147,582 ordinary shares of 0.25p each
|
|||
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for):
|
0
|
|||
Less: Number of securities
issued/allotted under scheme(s) during period (see LR3.5.7G):
|
45,177
|
|||
Equals: Balance under scheme(s) not yet issued/allotted at end of period:
|
3,102,405
|
|||
Name of contact:
|
Louise Benton
|
Telephone number of contact:
|
0207 116 2915
|
Name of applicant:
|
BARCLAYS PLC
|
|||
Name of scheme:
|
Woolwich SAYE Share Option Scheme
|
|||
Period of return:
|
From:
|
01.01.11
|
To:
|
30.06.11
|
Balance of unallotted securities under scheme(s) from previous return:
|
808,581 ordinary shares of 0.25p each
|
|||
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for):
|
0
|
|||
Less: Number of securities issued/allotted under scheme(s) during period (see LR3.5.7G):
|
0
|
|||
Equals: Balance under scheme(s) not yet issued/allotted at end of period:
|
808,581
|
|||
Name of contact:
|
Louise Benton
|
Telephone number of contact:
|
0207 116 2915
|
Name of applicant:
|
BARCLAYS PLC
|
|||
Name of scheme:
|
Woolwich Executive Share Option Plan (ESOP)
|
|||
Period of return:
|
From:
|
01.01.11
|
To:
|
30.06.11
|
Balance of unallotted securities under scheme(s) from previous return:
|
294,896 ordinary shares of 0.25p each
|
|||
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for):
|
0
|
|||
Less: Number of securities issued/allotted under scheme(s) during period (see LR3.5.7G):
|
0
|
|||
Equals: Balance under scheme(s) not yet issued/allotted at end of period:
|
294,896
|
|||
Name of contact:
|
Louise Benton
|
Telephone number of contact:
|
0207 116 2915
|
Name of applicant:
|
BARCLAYS PLC
|
|||
Name of scheme:
|
Barclays Group Share Incentive Plan
|
|||
Period of return:
|
From:
|
01.01.11
|
To:
|
30.06.11
|
Balance of unallotted securities under scheme(s) from previous return:
|
15,024,413 ordinary shares of 0.25p each
|
|||
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for):
|
0
|
|||
Less: Number of securities issued/allotted under scheme(s) during period (see LR3.5.7G):
|
6,995,265
|
|||
Equals: Balance under scheme(s) not yet issued/allotted at end of period:
|
8,029,148
|
|||
Name of contact:
|
Louise Benton
|
Telephone number of contact:
|
0207 116 2915
|
Name of applicant:
|
BARCLAYS PLC
|
|||
Name of scheme:
|
Barclays Bank PLC £4,050,000,000 9.75 per cent. Mandatorily Convertible Notes due 30 September 2009 convertible into fully paid ordinary shares of Barclays PLC, Issue Price 100 per cent.
|
|||
Period of return:
|
From:
|
01.01.11
|
To:
|
30.06.11
|
Balance of unallotted securities under scheme(s) from previous return:
|
129 ordinary shares of 0.25p each
|
|||
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for):
|
0
|
|||
Less: Number of securities issued/allotted under scheme(s) during period (see LR3.5.7G):
|
0
|
|||
Equals: Balance under scheme(s) not yet issued/allotted at end of period:
|
129
|
|||
Name of contact:
|
Louise Benton
|
Telephone number of contact:
|
0207 116 2915
|
Name of applicant:
|
BARCLAYS PLC
|
|||
Name of scheme:
|
Renewed 1986 Executive Share Option Scheme
|
|||
Period of return:
|
From:
|
01.01.11
|
To:
|
30.06.11
|
Balance of unallotted securities under scheme(s) from previous return:
|
980,192 ordinary shares of 0.25p each
|
|||
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for):
|
0
|
|||
Less: Number of securities issued/allotted under scheme(s) during period (see LR3.5.7G):
|
0
|
|||
Equals: Balance under scheme(s) not yet issued/allotted at end of period:
|
980,192
|
|||
Name of contact:
|
Louise Benton
|
Telephone number of contact:
|
0207 116 2915
|
Name of applicant:
|
BARCLAYS PLC
|
|||
Name of scheme:
|
Renewed 1981 & 1991 SAYE Share Option Scheme
|
|||
Period of return:
|
From:
|
01.01.11
|
To:
|
30.06.11
|
Balance of unallotted securities under scheme(s) from previous return:
|
18,358,275 ordinary shares of 0.25p each
|
|||
Plus: The amount by which the block scheme(s) has been increased since the date of the last return (if any increase has been applied for):
|
0
|
|||
Less: Number of securities issued/allotted under scheme(s) during period (see LR3.5.7G):
|
367,777
|
|||
Equals: Balance under scheme(s) not yet issued/allotted at end of period:
|
17,990,498
|
|||
Name of contact:
|
Louise Benton
|
Telephone number of contact:
|
0207 116 2915
|