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Barclays PLC Capital/Financing Update 2014

Jul 17, 2014

5250_rns_2014-07-17_3bd86cd8-8e9f-4005-8e45-cb93409332ef.pdf

Capital/Financing Update

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NOTICE TO HOLDERS OF 10,000,000 EQUITY LINKED CERTIFICATES DUE AUGUST 2015 ISSUED UNDER THE GLOBAL STRUCTURED SECURITIES PROGRAMME (the "Programme") (ISIN Code: XS0784057597 / Common Code: 078405759)

This notice (the "Notice") to holders of the Securities (the "Holders") relates to the amended Final Terms dated 16 August 2014 (the "Amended Final Terms"), replacing the original final terms dated 14 August 2012 (the "Original Final Terms").

Pursuant to Condition 20.1 of the Terms and Conditions of the Securities, the following provisions have been amended in the Amended Final Terms, replacing and modifying the currency for the Issue Price on the cover page in order to match the paragraph 9 in the Original Final Terms as follows:

The Issue Price will be changed to USD 2.63 from EUR 2.63.

In all other respects the Terms and Conditions of the Securities will remain in full effect.

Capitalised terms used but not otherwise defined herein shall have the meanings given to them in the Amended Final Terms, as read in conjunction with the Base Prospectus.

The date of this Notice is 16 August 2014.

Barclays Bank PLC