Issuer:
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Lloyds Bank plc
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Guarantor:
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Lloyds Banking Group plc
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Expected Ratings*:
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A2 / A / A (Neg, Neg, Stable)
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Status:
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Senior Unsecured, Unsubordinated
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Format/Ranking:
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SEC Registered Global Notes – Fixed Rate
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Principal Amount:
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$1,000,000,000
|
Pricing Date:
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November 20, 2013
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Expected Settlement Date:
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November 27, 2013 (T+5)
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Maturity Date:
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November 27, 2018
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Coupon:
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2.3%
|
Interest Payment Dates:
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Semi-annually on May 27 and November 27, commencing May 27, 2014
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Benchmark Treasury:
|
UST 1.25% due October 31, 2018
|
Benchmark Treasury Price/ Yield:
|
99-19¼ / 1.334%
|
Reoffer Price:
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99.840%
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Reoffer Yield:
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2.334%
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Spread to Benchmark Treasury:
|
UST + 100 basis points
|
Underwriting Commissions:
|
0.35%
|
Net Proceeds:
|
$ 994,900,000
|
ISIN:
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US53944VAA70
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CUSIP:
|
53944VAA7
|
Day Count Fraction:
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30 / 360 – following, unadjusted
|
Denominations:
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U.S.$200,000 and integral multiples of U.S.$ 1,000 in excess thereof
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Business Days:
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Means any day, other than Saturday or Sunday, that is neither a legal holiday nor a day on which banking institutions are authorized or required by law or regulation to close in the City of New York or in the City of London
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Business Day Convention:
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Following, unadjusted
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Expected Listing:
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New York Stock Exchange
|
Joint Book-Running Managers:
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Goldman, Sachs & Co., J.P. Morgan Securities LLC, Lloyds Securities Inc., Morgan Stanley & Co. LLC, UBS Securities LLC
|