Form 20-F
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X
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Form 40-F
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Yes
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No
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X
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Item | ||
Non-U.S. Tender Offer Announcement – Indicative Results
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1 |
Title of Security
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ISIN
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Principal
Amount
Outstanding
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Reference
Benchmark
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Indicative
Clearing
Spread
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Indicative
Purchase
Price*
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Indicative Series
Acceptance
Amount
|
Floating Rate Notes due 2013 (the “Series 1 Securities”)
|
XS0627824120
|
€1,000,000,000
|
—
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—
|
€1,010
|
€381,057,000
|
3.625 per cent. Notes due 2013 (the “Series 2 Securities”)
|
XS0497725563
|
€316,927,000
|
—
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—
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€1,021
|
€129,479,000
|
4.875 per cent. Notes due 2015 (the “Series 3 Securities”)
|
XS0526338693
|
€1,250,000,000
|
Applicable Interpolated Mid-Swap Rate
|
+105 basis points
|
—
|
€198,526,000
|
4.75 per cent. Notes due 2016 (the “Series 4 Securities”)
|
XS0627824633
|
€1,000,000,000
|
Applicable Interpolated Mid-Swap Rate
|
+100 basis points
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—
|
€256,750,000
|
4.875 per cent. Notes due 2017 (the “Series 5 Securities”)
|
XS0480133338
|
€1,991,000,000
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Applicable Interpolated Mid-Swap Rate
|
+100 basis points
|
—
|
€383,930,000
|
6.375 per cent. Notes due 2014 (the “Series 6 Securities”)
|
XS0423324887
|
£882,777,000
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5.00 per cent. UK Treasury Gilt due 2014
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+150 basis points
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—
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£153,881,000
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6.00 per cent. Notes due 2017 (the “Series 7 Securities”)
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XS0497707744
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£519,943,000
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1.75 per cent. UK Treasury Gilt due 2017
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+207 basis points
|
—
|
£82,604,000
|
6.625 per cent Notes due 2018 (the “Series 8 Securities”)
|
XS0388021270
|
£800,000,000
|
5.00 per cent. UK Treasury Gilt due 2018
|
+225 basis points
|
—
|
£174,868,000
|
7.50 per cent. Notes due 2024 (the “Series 9 Securities”)
|
XS0423325181
|
£924,613,000
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5.00 per cent. UK Treasury Gilt due 2025
|
+290 basis points
|
—
|
£36,388,000
|
6.875 per cent. Notes due 2025 (the “Series 10 Securities”)
|
XS0497709286
|
£739,033,000
|
5.00 per cent. UK Treasury Gilt due 2025
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+247 basis points
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—
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£166,773,000
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*
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Per €1,000 in principal amount.
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Date and Time
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Action
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|
At or around 1:00 p.m. (London time) today (the “Price Determination Time”)
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Price Determination Time
The Offeror will determine the relevant Reference Yields, Purchase Yields, Series Acceptance Amounts (which may be zero in respect of any Series), pro-ration factors (if any), Clearing Spreads and Purchase Prices.
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As soon as practicable after the Price Determination Time
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Announcement of Final Offer Results
Announcement by the Offeror of whether it will accept Offers in respect of a particular Series of Securities, and, if so: the Reference Yield; the Purchase Yield; the Purchase Price; Accrued Interest, if any; and confirming the pro-ration factors, if any; the Series Acceptance Amounts (which may be zero in respect of any Series); and the relevant Clearing Spreads (where applicable).
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19 September 2012
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Settlement Date
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Expected Settlement Date for Securities validly tendered and accepted by the Offeror. Payment of the relevant Purchase Price and Accrued Interest Payment in respect of any such Securities.
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Morgan Stanley & Co. International plc
25 Cabot Square
Canary Wharf
London E14 4QA
United Kingdom
Tel: +44 20 7677 5040
Attention: Liability Management
Email: liabilitymanagementeurope@morganstanley.com
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Société Générale
SG House
41 Tower Hill
London EC3N 4SG
United Kingdom
Tel: +44 20 7676 7579
Attention: Liability Management
Email: liability.management@sgcib.com
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TENDER AGENT
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Lucid Issuer Services Limited
Leroy House
436 Essex Road
London N1 3QP
United Kingdom
Tel: +44 (0) 20 7704 0880
Fax: +44 20 7067 9098
Attention: David Shilson/Yves Theis
Email: rbs@lucid-is.com
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THE ROYAL BANK OF SCOTLAND GROUP plc
(Registrant)
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|||
By:
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/s/ Caroline V. Storrie | ||
Name: Caroline V. Storrie | |||
Title: Assistant Secretary | |||
THE ROYAL BANK OF SCOTLAND plc
(Registrant)
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|||
By:
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/s/ Caroline V. Storrie | ||
Name: Caroline V. Storrie | |||
Title: Assistant Secretary | |||