Filed pursuant to Rule 433
Registration Statement Nos. 333-162219 and 333-162219-01
August 11, 2011
 



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    28 Products found
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       Name  CUSIP                                 Maturity Protection     Bid   Ask   %
                                                   Strike Ref.                         change  add
                                                        100.00 %          94.40        -0.44
       Callable Fixed Rate Step-Up                 12/28/20       n/a n/a        95.40   %**
       78009KPQ9

      -----------------------------------------------------------------------------------------
       Callable Fixed Rate Step-Up                      100.00 %          99.09 100.09 +0.00
                                                   02/25/21       n/a n/a                %**
       78009KQZ8

      -----------------------------------------------------------------------------------------
       Callable Fixed Rate Step-up                      100.00 %          90.23  91.23 -0.50
                                                   10/28/22       n/a n/a                %**
       78009KMZ2

      -----------------------------------------------------------------------------------------
       Callable Fixed Rate Step-Up                      100.00 %         100.14 101.14 -0.45
                                                   02/25/26       n/a n/a                %**
       78009KQX3

      -----------------------------------------------------------------------------------------
       Callable Fixed Rate Step-Up                      100.00 %         100.72 101.72 -0.39
                                                   03/31/26       n/a n/a                %**
       78009KRS3

      -----------------------------------------------------------------------------------------
       Callable Fixed Rate Step-Up                      100.00 %          99.91 100.91 +0.03
                                                   04/15/26       n/a n/a                %**
       78009KSA1

      -----------------------------------------------------------------------------------------
       Callable Fixed Rate Step-up                      100.00 %          83.16Sold    -0.12
                                                   10/29/30       n/a n/a          out   %**
       78009KNA6

      -----------------------------------------------------------------------------------------
       Callable Fixed Rate Step-up                      100.00 %          86.71Sold    -0.13
                                                   12/02/30       n/a n/a          out   %**
       78009KPE6

      -----------------------------------------------------------------------------------------
       Callable Fixed Rate Step-Up                      100.00 %         102.20 103.20 -0.48
                                                   03/22/18       n/a n/a                %**
       78009KRM6

      -----------------------------------------------------------------------------------------
       Callable Fixed Rate Step-Up                      100.00 %          98.30  99.30 -0.59
                                                   10/12/18       n/a n/a                %**
       78009KMU3

      -----------------------------------------------------------------------------------------
       Callable Fixed Rate Step-Up                      100.00 %         100.02 101.02 -0.52
                                                   03/31/19       n/a n/a                %**
       78009KRZ7

      -----------------------------------------------------------------------------------------
       Callable Fixed to Floating Rate Note             100.00 %          87.58  88.58 +0.69
       linked to 3-Month LIBOR                     10/29/20       n/a n/a                %**
       78009KMV1

      -----------------------------------------------------------------------------------------
       Callable Floating Rate Note linked to the        100.00 %          92.41  93.41 +1.06
       3 Month LIBOR                               11/22/18       n/a n/a                %**
       78009KNS7

      -----------------------------------------------------------------------------------------
       Fixed Rate                                       100.00 %          95.93  96.93 +0.07
       Step-Up                                     08/11/20       n/a n/a                %**
       78009KLF7

      -----------------------------------------------------------------------------------------
       Fixed Rate                                       100.00 %          91.73  92.73 -0.40
       Step-Up                                     11/16/20       n/a n/a                %**
       78009KNR9

      -----------------------------------------------------------------------------------------
       Fixed to Float linked to the 10yr CMS            100.00 %          94.41  95.41 -0.98
                                                   09/16/20       n/a n/a                %**
       78009KME9

      -----------------------------------------------------------------------------------------
       Fixed to Float linked to the 3-Month LIBOR       100.00 %          90.07  91.07 -1.87
                                                   10/27/17       n/a n/a                %**
       78009KNB4

      -----------------------------------------------------------------------------------------
       Fixed to Float linked to the 3-Month LIBOR       100.00 % 0.34     98.64  99.64 +0.00
                                                   08/19/17           n/a                %**
       78009KMB5

      -----------------------------------------------------------------------------------------
       Fixed to Floating Note Linked to the             100.00 %          87.40  88.40 -1.45
       3-Month LIBOR                               09/28/18       n/a n/a                %**
       78009KMG4

      -----------------------------------------------------------------------------------------
       Fixed to Floating Rate Note linked to the        100.00 %          90.61  91.61 -0.34
       USD 3 Month Libor                           09/20/17       n/a n/a                %**
       78009KMF6

      -----------------------------------------------------------------------------------------
       Leveraged CPI Linked Securities With Fixed       100.00 %  0       98.90  99.90 +0.00
       First-Year Coupon                           01/20/15           n/a                %**
       00079FHS4

      -----------------------------------------------------------------------------------------


 
 
 

 
 
 






                                                        ProtectioStrike                 %
                                                  Maturity       Ref.     Bid     Ask   change add
       Leveraged CPI Linked Securities With             100.00 %                        0.72
       Fixed First-Year Coupon                    01/13/20      26.3 n/a  80.86  81.86 + %**

       00079FHN5

      -----------------------------------------------------------------------------------------
       RBS Capped Fixed-to-Floating Rate Notes                  n/a  n/a  95.01  96.01 -1.23
                                                  06/14/21                               %**

       78009PAP6

      -----------------------------------------------------------------------------------------
       Steepener linked to the USD CMS 10 years         100.00 %n/a  n/a  85.95  86.95 +3.27
       - USD CMS 2 years                          12/13/28                               %**

       78009KPH9

      -----------------------------------------------------------------------------------------
       Steepener linked to the USD CMS 30 years         100.00 %n/a  n/a 101.60 102.60 +2.75
       - USD CMS 2 years                          04/12/26                               %**

       78009KSD5

      -----------------------------------------------------------------------------------------
       Steepener linked to the USD CMS 30 years                 n/a  n/a  99.50 100.50 +3.71
       - USD CMS 2 years                          02/25/31                               %**

       78009KQW5

      -----------------------------------------------------------------------------------------
       Steepener linked to the USD CMS 30 Years         100.00 %n/a  n/a  97.17  98.17 +4.19
       - USD CMS 2 years                          12/30/30                               %**

       78009KPR7

      -----------------------------------------------------------------------------------------
       USD 3 Month Libor Capital Protected Note         100.00 %n/a  n/a
                                                  07/21/21

       78009PBD2

      -----------------------------------------------------------------------------------------
       Live     On   Off
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   Please read the relevant prospectus, which contains material terms of the securities and
   important risks that you should consider, before investing. If the securities are
   Capital Protected Notes, please bear in mind that they protect your principal invested
   only against any decline in the underlying market measure at maturity. They are not
   guaranteed or insured by the Federal Deposit Insurance Corporation (FDIC) or secured by
   collateral, nor are they obligations of or guaranteed by the UK government. All payments
   due on Capital Protected Notes remain subject to the credit risk of the issuer and its
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   Information on the website regarding the performance of a security or the underlying or
   any other financial instrument always relates to the past. Past performance is not
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   The Royal Bank of Scotland N.V. ("RBS N.V.") and The Royal Bank of Scotland plc ("RBS
   plc") have each filed a registration statement (including a prospectus) with the United
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   ** From close of business yesterday

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