Free Writing Prospectus dated January 4, 2011
(to Prospectus dated May 18, 2010 and
Preliminary Prospectus Supplement dated January 4, 2011)
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Filed pursuant to Rule 433
Registration Statement Nos. 333-162219 and 333-162219-01
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Issuer
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The Royal Bank of Scotland plc
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Guarantor
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The Royal Bank of Scotland Group plc
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Issuer Ratings
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Aa3 / A+ / AA- (Moody’s / S&P / Fitch)
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Ranking
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Senior
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Principal Amount
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USD $ 500,000,000
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Price to the Public
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99.697%
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Redemption Price
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100.0000% of principal amount of the relevant Note
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Specified Currency
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USD
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Trade Date
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January 4th, 2011
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Settlement Date
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January 11th, 2011, in accordance with DTC’s procedures (T+5)
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Maturity
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January 11th, 2014
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Call Option
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No
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Benchmark
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T 0.750% due December 15th, 2013
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Benchmark Yield
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1.007%
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Re-Offer Yield
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3.357%
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Re-Offer Spread to UST
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T+235 bps
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Coupon
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3.25% (semi-annual)
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Day Count
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30/360
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Convention
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Following, unadjusted
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Business Days
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New York & London
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Bookrunner
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RBS Securities Inc.
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Co-Managers
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BMO Capital Markets Corp.
BNY Mellon Capital Markets, LLC
CIBC World Markets Corp.
Citigroup Global Markets Inc.
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HSBC Securities (USA) Inc.
J.P. Morgan Securities Inc.
Morgan Stanley & Co. Incorporated
TD Securities (USA) LLC
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Underwriting Discount
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0.300%
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Interest Payment Period
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Semi-Annual
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Interest Payment Date(s)
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On the 11th day of each July and January, commencing July 11th, 2011, up to and including January 11th, 2014
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Interest Payment Record Date(s)
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On the 27th day of each June and December commencing June 27th, 2011
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Format
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SEC-Registered
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Denominations
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USD $2,000 and integral multiples of USD $1,000 in excess thereof
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Listing
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An application will be made to list the notes on the New York Stock Exchange
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Clearing and Settlement
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DTC and Euroclear/Clearstream
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CUSIP / ISIN
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78010XAJ0 / US78010XAJ00
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