Free
Writing Prospectus dated October 14, 2009
(to
Prospectus, dated September 30, 2009 and
Prospectus
Supplement, dated October 14, 2009)
|
Filed
Pursuant to Rule 433
Registration
Statement No. 333-162219
|
Issuer
|
The
Royal Bank of Scotland Group plc
|
Issuer
Ratings
|
A1
/ A / AA- (Moody’s / S&P / Fitch)
|
Ranking
|
Senior
|
Principal
Amount
|
USD
1,500,000,000
|
Price
to the Public
|
99.891%
|
Redemption
Price
|
100.0000%
of principal amount of the relevant Note
|
Specified
Currency
|
USD
|
Trade
Date
|
October
14, 2009
|
Settlement
Date
|
October
21, 2009, in accordance with DTC’s procedures (T+5)
|
Maturity
|
October
21, 2019
|
Call
Option
|
No
|
Benchmark
|
T
3.625% due August 15, 2019
|
Benchmark
Yield
|
3.415%
|
Re-Offer
Yield
|
6.415%
(semi-annual)
|
Re-Offer
Spread to UST
|
T+300
bps
|
Coupon
|
6.40%
(semi-annual)
|
Day
Count Convention
|
30/360
unadjusted
|
Bookrunner
|
RBS
Securities Inc.
|
Co-Managers
|
BB&T
Capital Markets, a division of Scott
& Stringfellow, LLC
|
BNY
Mellon Capital Markets, LLC
|
|
Citigroup
Global Markets Inc.
|
|
Goldman,
Sachs & Co.
|
|
J.P.
Morgan Securities Inc.
|
|
SunTrust
Robinson Humphrey, Inc.
|
|
U.S.
Bancorp Investments, Inc.
|
Wells
Fargo Securities, LLC
|
|
Underwriting
Discount
|
0.450%
|
Interest
Payment Period
|
Semi-Annual
|
Interest
Payment Date(s)
|
On
the 21st day
of each April and October commencing April 21,
2010
|
Format
|
SEC-Registered
|
Denominations
|
USD
$100,000 and integral multiples of USD $1,000 in excess
thereof
|
Listing
|
We
intend to apply to list the Senior Notes on the London Stock
Exchange
|
Clearing
and Settlement
|
DTC
and Euroclear/Clearstream
|
CUSIP
/ ISIN
|
780097AW1
/ US780097AW11
|