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Barclays PLC Capital/Financing Update 2011

Nov 21, 2011

5250_rns_2011-11-21_40664f33-5bcb-41bd-a212-b65c0bc93dd8.pdf

Capital/Financing Update

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BARCLAYS BANK PLC

(Incorporated with limited liability in England and Wales)

BARCLAYS CAPITAL (CAYMAN) LIMITED

(Incorporated with limited liability in the Cayman Islands)

GLOBAL STRUCTURED SECURITIES PROGRAMME

for the issue of Securities

BARCLAYS BANK PLC

1,163,250 Index Linked Warrant due June 2016 (the "Warrant")

Series NX00061583

under the Global Structured Securities Programme

Issue Price: JPY 130.00 per Security

This document constitutes the final terms of the Warrant (the "Final Terms") described herein for the purposes of Article 5.4 of Directive 2003/71/EC (the "Prospectus Directive") and is prepared in connection with the Global Structured Securities Programme established by Barclays Bank PLC (the "Bank") and Barclays Capital (Cayman) Limited ("BCCL") and is supplemental to and should be read in conjunction with the Base Prospectus dated 5 August 2011, as supplemented and amended from time to time, which constitutes a base prospectus (the "Base Prospectus") for the purpose of the Prospectus Directive. Full information on the Issuer and the offer of the Securities is only available on the basis of the combination of these Final Terms and the Base Prospectus. The Base Prospectus is available for viewing during normal business hours at the registered office of the Issuer and the specified office of the Issue and Paying Agent for the time being in London, and copies may be obtained from such office. Words and expressions defined in the Base Prospectus and not defined in this document shall bear the same meanings when used herein.

The Issuer accepts responsibility for the information contained in these Final Terms. To the best of its knowledge and belief (having taken all reasonable care to ensure that such is the case), the information contained in these Final Terms is in accordance with the facts and does not contain anything likely to affect the import of such information.

Investors should refer to the sections headed "Risk Factors" in the Base Prospectus for a discussion of certain matters that should be considered when making a decision to invest in the Securities.

Barclays Capital

Final Terms dated 21 November 2011

The distribution of this document and the offer of the Securities in certain jurisdictions may be restricted by law. Persons into whose possession these Final Terms come are required by the Bank to inform themselves about and to observe any such restrictions. Details of selling restrictions for various jurisdictions are set out in "Purchase and Sale" in the Base Prospectus. In particular, the Securities have not been, and will not be, registered under the US Securities Act of 1933, as amended, and are subject to US tax law requirements. Trading in the Securities has not been approved by the US Commodity Futures Trading Commission under the US Commodity Exchange Act of 1936, as amended. Subject to certain exceptions, the Securities may not at any time be offered, sold or delivered in the United States or to US persons, nor may any US persons at any time trade or maintain a position in such Securities.

Index disclaimers:

TPX Index

(i) The TPX Index Value and the TPX Index Marks are subject to the rights owned by the Tokyo Stock Exchange, Inc. and the Tokyo Stock Exchange, Inc. owns all rights relating to the TPX Index such as calculation, publication and use of the TPX Index Value and relating to the TPX Index Marks.

(ii) The Tokyo Stock Exchange, Inc. shall reserve the rights to change the methods of calculation or publication, to cease the calculation or publication of the TPX Index Value or to change the TPX Index Marks or cease the use thereof.

(iii) The Tokyo Stock Exchange, Inc. makes no warranty or representation whatsoever, either as to the results stemmed from the use of the TPX Index Value and the TPX Index Marks or as to the figure at which the TPX Index Value stands on any particular day.

(iv) The Tokyo Stock Exchange, Inc. gives no assurance regarding accuracy or completeness of the TPX Index Value and data contained therein. Further, the Tokyo Stock Exchange, Inc. shall not be liable for the miscalculation, incorrect publication, delayed or interrupted publication of the TPX Index Value.

(v) No Licensed Products are in any way sponsored, endorsed or promoted by the Tokyo Stock Exchange, Inc.

(vi) The Tokyo Stock Exchange, Inc. shall not bear any obligation to give an explanation of the Licensed Products or an advice on investments to any purchaser of the Licensed Products or to the public.

(vii) The Tokyo Stock Exchange, Inc. neither selects specific stocks or groups thereof nor takes into account any needs of the issuing company or any purchaser of the Licensed Products for calculation of the TPX Index Value.

(viii) Including but not limited to the foregoing, the Tokyo Stock Exchange, Inc. shall not be responsible for any damage resulting from the issue and sale of the Licensed Products.

Part A

Terms and Conditions of the Securities

The Securities shall have the following terms and conditions, which shall complete, modify and/or amend the Base Conditions and/or any applicable Relevant Annex(es) set out in the Base Prospectus dated 5 August 2011.

Issuer: Barclays Bank PLC
Guarantor: N/A
Manager: Barclays Bank PLC
Determination Agent: Barclays Bank PLC
Issue and Paying Agent: The Bank of New York Mellon
Stabilising Manager: N/A
Registrar: The Bank of New York Mellon (Luxembourg) S.A.
CREST Agent: N/A
Italian Securities Agent: N/A
Paying Agents: N/A
Transfer Agent: The Bank of New York Mellon (Luxembourg) S.A.
Exchange Agent: N/A
Additional Agents: N/A

THE SECURITIES HAVE NOT BEEN AND WILL NOT BE REGISTERED UNDER THE US SECURITIES ACT OF 1933, AS AMENDED (THE "SECURITIES ACT"). SUBJECT TO CERTAIN EXCEPTIONS, THE SECURITIES MAY NOT BE OFFERED OR SOLD WITHIN THE UNITED STATES OR TO, OR FOR THE ACCOUNT OR BENEFIT OF, US PERSONS (AS DEFINED IN REGULATION S UNDER THE SECURITIES ACT ("REGULATION S")). THESE FINAL TERMS HAVE BEEN PREPARED BY THE ISSUER FOR USE IN CONNECTION WITH THE OFFER AND SALE OF THE SECURITIES OUTSIDE THE UNITED STATES TO NON-US PERSONS IN RELIANCE ON REGULATION S AND FOR LISTING OF THE SECURITIES ON THE RELEVANT STOCK EXCHANGE, IF ANY, AS STATED HEREIN. FOR A DESCRIPTION OF THESE AND CERTAIN FURTHER RESTRICTIONS ON OFFERS AND SALES OF THE SECURITIES AND DISTRIBUTION OF THESE FINAL TERMS AND THE BASE PROSPECTUS, SEE "PURCHASE AND SALE" IN THE BASE PROSPECTUS.

EACH PURCHASER OF REGISTERED SECURITIES WILL BE DEEMED, BY ITS ACCEPTANCE OF PURCHASE OF ANY SUCH REGISTERED SECURITIES, TO HAVE MADE CERTAIN REPRESENTATIONS AND AGREEMENTS INTENDED TO RESTRICT THE RESALE OR OTHER TRANSFER OF SUCH REGISTERED SECURITIES AS SET OUT IN "CLEARANCE, SETTLEMENT AND TRANSFER RESTRICTIONS - TRANSFER RESTRICTIONS FOR REGISTERED SECURITIES" IN THE BASE PROSPECTUS.

THE SECURITIES HAVE NOT BEEN APPROVED OR DISAPPROVED BY THE US SECURITIES AND EXCHANGE COMMISSION, ANY STATE SECURITIES COMMISSION IN THE UNITED STATES OR ANY OTHER US REGULATORY AUTHORITY, AND NONE OF THE FOREGOING AUTHORITIES HAS PASSED UPON OR ENDORSED THE MERITS OF THE OFFERING OF SECURITIES OR THE ACCURACY OR THE ADEQUACY OF THESE FINAL TERMS OR THE BASE PROSPECTUS. ANY REPRESENTATION TO THE CONTRARY IS A CRIMINAL OFFENCE IN THE UNITED STATES.

Provisions relating to the Securities

1 (i) Series: NX00061583
(ii) Tranche: 1
2 Currency: Japanese Yen ("JPY")
3 Number of Warrants or Exercisable
Certificates being issued:
1,163,250
4 (i) Minimum Tradable Amount: 10,000 Warrants or 1 Unit
(ii) Calculation Amount per Security as at
the Issue Date:
JPY 1,000
5 Form:
(i) Global/Definitive/Uncertificated and
dematerialised:
Global Registered Securities:
Regulation S Global Security
(ii) NGN Form: N/A
(iii) Held under the NSS: N/A
(iv) CGN Form: N/A
(v) CDI s : N/A
6 Trade Date: 11 November 2011
7 Issue Date: 21 November 2011
8 Issue Price: JPY 130.00 per Security
9 Relevant Stock Exchange: London Stock Exchange
10 The following Relevant Annex(es) shall apply
to the Securities:
Equity Linked Annex
Provisions relating to interest (if any) payable on the Securities
11 Interest: N/A
12 Interest Amount: N/A
13 Interest Rate: N/A
14 Screen Rate Determination: N/A
15 ISDA Determination: N/A
16 Margin: N/A
17 Minimum/Maximum Interest Rate: N/A
18 Interest Commencement Date: N/A
19 Interest Determination Date: N/A
20 Interest Calculation Periods: N/A
21 Interest Payment Dates: N/A
22 Day Count Fraction: N/A
23 Fallback provisions, rounding provisions, N/A

denominator and any other terms relating to the method of calculating interest, if different from those set out in the Base Conditions:

Provisions relating to Exercise

24 (i) Exercise Style: European Style
(ii) Multiple Exercise Securities: N/A
25 Call/Put Securities: Call Warrants
26 Units: The Securities must be exercised in Units. 1 Unit
equals 10,000 Warrants.
27 Exercise Price:
28 Exercise Date(s): Expiration Date
29 Exercise Parameters: N/A
30 Potential Exercise Business Dates: N/A
31 Exercise Business Day: N/A
32 Exercise Period: N/A
33 Expiration Date: 9 June 2016
34 Automatic Exercise: Applicable
35 Minimum Number Exercise Requirement: The Minimum Number is 1 Security
36 Maximum Daily Number: N/A
37 Nominal Call Event: N/A
Provisions relating to Redemption
38 Settlement Method: Cash Settlement
39 Settlement Currency: USD
40 Settlement Number: As defined in Condition 24 of the Base
Conditions
41 Terms relating to Cash Settled Securities:
(i) Exercise Cash Settlement Amount: The Exercise Cash Settlement Amount will be an
amount determinded by the Determination
Agent as follows:
Calculation Amount x max(0; Underlying
Performance)
Where:
"Underlying Performance" will be calculated as
follows:

$\frac{Index_{Final}}{Index_{initial}} - Strike$

"Index Final " means the Index Level on the
Valaution Date.
"Index initial " means 731.
"Strike" means 110 per cent.
(ii) Exercise Cash Settlement Date: 16 June 2016
(iii) Early Cash Settlement Amount: in Condition 24 of the Base
As defined
Conditions
(iv) Early Cancellation Date: As defined
in Condition 24 of the Base
Conditions
42 Specified Early Cancellation Event: N/A
43 Call Option: N/A
44 Early Exercise Trigger Event: N/A
45 Securities: Terms relating to Physically Delivered N/A
46 Multiplier: N/A
47 Annex: Additional Disruption Events in addition to
those specified in Condition 24 of the Base
Conditions and any applicable Relevant
N/A
48 Share Linked Securities: N/A
49 Index Linked Securities (Equity notices only): Applicable
(i) Index/Indices (each a "Reference
Asset"):
TOPIX Index (the "Index")
Bloomberg Code (for identification purposes):
TPX Index
(ii) Future Price Valuation: N/A
(iii) Exchange-traded Contract: N/A
(iv) Exchange: Tokyo Stock Exchange
(v) Related Exchange: Tokyo Stock Exchange
(vi) Exchange Rate: N/A
(vii) Weighting for each Reference Asset
comprising the Basket of Reference
Assets:
N/A
(viii) Index Level of each Reference Asset: The level of the Index at the Valuation Time on a
Scheduled Trading Day (the "Index Level")
(ix) Valuation Dates: 9 June 2016
(x) Valuation Time: TPX, 3.00 pm Tokyo Time
(xi) Averaging: N/A
(xii) Additional Disruption Event in respect N/A

of Index Linked Securities:

N/A
Other adjustments:
(xiv)
Inflation Linked Securities:
N/A
50
FX Linked Securities:
N/A
51
Credit Linked Securities:
N/A
52
N/A
Commodity Linked Securities:
53
N/A
Debt Components:
54
N/A
55
Interest Rate Components:
(a) Barclays Capital Commodity Index Linked
N/A
56
Securities (Section 2 of the Barclays Capital
Index Annex):
(b) Barclays Capital Equity Index Linked
N/A
Securities (Section 3 of the Barclays Capital
Index Annex):
(c) Barclays Capital FX Index Linked
N/A
Securities (Section 4 of the Barclays Capital
Index Annex):
N/A
(d) Barclays Capital Interest Rate Index
Linked Securities (Section 5 of the Barclays
Capital Index Annex):
(e) Barclays Capital Emerging Market Index
N/A
Linked Securities (Section 6 of the Barclays
Capital Index Annex):
Fund Linked Securities:
N/A
57
Additional provisions relating to Settlement
Settlement in respect of APK Registered
N/A
58
Securities, Swedish Registered Securities or
other Securities:
Additional provisions relating to payment of
N/A
59
Exercise Price:
Additional provisions relating to Taxes and
N/A
60
Settlement Expenses:
Definitions
Definition of In-The-Money:
61
As
Conditions
As defined
62
Business Days:
Conditions
N/A
FX Disruption Event:
(xiii)
N/A
defined in Condition 24 of the Base
in Condition 24 of the Base
Additional Business Centre(s):

Selling restrictions and provisions relating to certification

63 Non-US Selling Restrictions: As described in the Base Prospectus
64 Applicable TEFRA exemption: N/A
65 Other: N/A
General
66 Business Day Convention: Modified Following
67 Relevant Clearing Systems: Euroclear
Clearstream
68 If syndicated, names of Managers: N/A
69 Relevant securities codes: ISIN: GB00B6TSYG01
Common Code: 070755734
70 Modifications to the Master Subscription
Agreement and/or Master Agency
Agreement (as amended from time to time):
N/A
71 Additional Conditions and/or modification
to the Conditions of the Securities:
N/A

Part B Other Information

$\mathbf{1}$ LISTING AND ADMISSION TO TRADING
(i) Listing: London
(ii) Admission to trading: Application is expected to be made by the Issuer (or
on its behalf) for the Securities to be admitted to
trading on the London Stock Exchange's Regulated
Market on or around the Issue Date.
(iii) Estimate of total expenses related to
admission to trading:
GBP 300
2
RATINGS
Ratings: The Securities have not been individually rated.
3
NOTIFICATION
N/A
INTERESTS OF NATURAL AND LEGAL PERSONS INVOLVED IN THE ISSUE
4
Save as discussed in "Purchase and Sale", so far as the Issuer is aware, no person involved in the issue
of the Securities has an interest material to the issue.
5 REASONS FOR THE OFFER, ESTIMATED NET PROCEEDS AND TOTAL EXPENSES
(i) Reasons for the offer: General funding
(ii) Estimated net proceeds: N/A
(iii) Estimated total expenses: N/A
6 FIXED RATE SECURITIES ONLY - YIELD
Indication of yield: N/A
$\overline{7}$ FLOATING RATE SECURITIES ONLY - HISTORIC INTEREST RATES
N/A
8 PERFORMANCE OF REFERENCE ASSET(S) OR OTHER VARIABLE, EXPLANATION OF EFFECT ON
VALUE OF INVESTMENT AND ASSOCIATED RISKS AND OTHER INFORMATION CONCERNING THE
REFERENCE ASSET(S) AND/OR OTHER UNDERLYING

$N/A$

9 PERFORMANCE OF RATES OF EXCHANGE AND EXPLANATION OF EFFECT ON VALUE OF INVESTMENT

$N/A$

10 OPERATIONAL INFORMATION

Any clearing system(s) other than Euroclear
Bank S.A./N.V. and Clearstream Banking
N/A
Société Anonyme (together with their
addresses) and the relevant identification
$number(s)$ :
Delivery: Delivery free of payment
Names and addresses of additional Paying
Agents(s) (if any):
N/A
Intended to be held in a manner which would
allow Eurosystem eligibility:
No

11 OFFER INFORMATION

$N/A$