0000950103-12-003170.txt : 20120619 0000950103-12-003170.hdr.sgml : 20120619 20120619122235 ACCESSION NUMBER: 0000950103-12-003170 CONFORMED SUBMISSION TYPE: 424B5 PUBLIC DOCUMENT COUNT: 4 FILED AS OF DATE: 20120619 DATE AS OF CHANGE: 20120619 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Lloyds Banking Group plc CENTRAL INDEX KEY: 0001160106 STANDARD INDUSTRIAL CLASSIFICATION: COMMERCIAL BANKS, NEC [6029] IRS NUMBER: 000000000 STATE OF INCORPORATION: X0 FILING VALUES: FORM TYPE: 424B5 SEC ACT: 1933 Act SEC FILE NUMBER: 333-167844 FILM NUMBER: 12914367 BUSINESS ADDRESS: STREET 1: 25 GRESHAM STREET CITY: LONDON STATE: X0 ZIP: EC2V 7HN BUSINESS PHONE: 44 0 20 7626 1500 MAIL ADDRESS: STREET 1: 25 GRESHAM STREET CITY: LONDON STATE: X0 ZIP: EC2V 7HN FORMER COMPANY: FORMER CONFORMED NAME: LLOYDS TSB GROUP PLC DATE OF NAME CHANGE: 20010926 FILER: COMPANY DATA: COMPANY CONFORMED NAME: LLOYDS TSB BANK PLC CENTRAL INDEX KEY: 0001167831 STANDARD INDUSTRIAL CLASSIFICATION: COMMERCIAL BANKS, NEC [6029] IRS NUMBER: 000000000 STATE OF INCORPORATION: X0 FILING VALUES: FORM TYPE: 424B5 SEC ACT: 1933 Act SEC FILE NUMBER: 333-167844-01 FILM NUMBER: 12914366 BUSINESS ADDRESS: STREET 1: 25 GRESHAM STREET STREET 2: LONDON EC2V 7HN CITY: UNITED KINGDOM STATE: X0 ZIP: 00000 BUSINESS PHONE: 442076261500 MAIL ADDRESS: STREET 1: 25 GRESHAM STREET STREET 2: LONDON EC2V 7HN CITY: UNITED KINGDOM STATE: X0 ZIP: 00000 424B5 1 dp31224_424b5-57.htm FORM 424B5
CALCULATION OF REGISTRATION FEE
 
Title of Each Class of Securities Offered
Maximum Aggregate Offering Price
Amount of Registration Fee(1)
Debt Securities
$454,000
$52.03
Guarantee of Debt Securities
   –(2)
Total
$454,000
$52.03
 
(1)
Calculated in accordance with Rule 457(r)
 
(2)
Pursuant to Rule 457(n), no separate fee is payable with respect to the guarantee
 
 
Pricing Supplement No. 57
(To Prospectus Supplement dated November 25, 2011
and Prospectus dated December 22, 2010)
Filed Pursuant to Rule 424(b)(5)
Registration Nos. 333-167844 and 333-167844-01
June 18, 2012

CUSIP/
ISIN
Aggregate Principal Amount
 
Price to Public(1)
Selling Agent’s Commission(2)
Net Proceeds
Interest Type
Interest Rate
Interest Payment Frequency
Day Count Fraction
Business Day Convention
Maturity Date
First Interest Payment Date
First
Interest Payment Amount
Survivor’s Option
Ranking
53944XCJ2/
US53944XCJ28
$454,000
Per Note:
$1,000.00
$12.50
$987.50
Fixed
4.10% per annum
Semi-annually
30/360
Following, unadjusted, New York and London
6/21/2022
12/21/2012
$20.50 (per $1,000 Note)
Yes
Senior Unsecured
Total:
$454,000.00
$5,675.00
$448,325.00
Redemption Information: Non-Callable

Selling Agent: Barclays Capital Inc.

(1)  The proceeds you might expect to receive if you were able to resell the Notes on the Issue Date are expected to be less than the issue price.  This is because the issue price includes the selling agent’s commission set forth above and also reflects certain hedging costs associated with the Notes.  For additional information, see “Risk Factors — The issue price of the notes has certain built-in costs, including the selling agent’s commission and our cost of hedging, both of which are expected to be reflected in secondary market prices” on page S-3 of the accompanying prospectus supplement.  The issue price also does not include fees that you may be charged if you buy the Notes through your registered investment advisers for managed fee-based accounts.
 
(2)  The Selling Agent may retain all or a portion of this commission or use all or a portion of this commission to pay selling concessions or fees to other dealers.  See “Supplemental Plan of Distribution” on page S-26 of the accompanying prospectus supplement.
 
 

 
Lloyds TSB Bank plc
 
fully and unconditionally
guaranteed by
 
Lloyds Banking Group plc
 
Retail Notes, Series B
Offering Dates:
June 11, 2012 through June 18, 2012
Notes:
Retail Notes, Series B
Trade Date:
June 18, 2012
Issuer:
Lloyds TSB Bank plc (“Lloyds Bank”)
Issue Date:
June 21, 2012
Guarantor:
Lloyds Banking Group plc (“LBG”)
       
Minimum Denomination/Increments: $1,000/$1,000
Settlement and Clearance: DTC; Book-Entry
Listing: The Notes will not be listed or displayed on any securities exchange or quotation system.
 
Survivor’s Option Payment Date:  Subject to limitations, each February 15 and August 15 of each calendar year.  See “Risk Factors — Any Survivor’s Option may be limited in amount, and any repayments made with respect to the exercise of a Survivor’s Option will not be made immediately” and “Description of the Survivor’s Option” starting on page S-6 and page S-17, respectively, in the accompanying prospectus supplement.
 
Interest Payment Dates:  Interest on the Notes will be paid semi-annually in arrears on the 21st day of each June and December (each an “Interest Payment Date”) beginning on (and including) December 21, 2012 and ending on  the Maturity Date or the Survivor’s Option Payment Date, if applicable.  For additional information see “Description of the Notes and the Guarantees — Payment of Principal, Interest and Other Amounts Due” starting on page S-10 in the accompanying prospectus supplement.
 
If an Interest Payment Date, the Maturity Date or the Survivor’s Option Payment Date, if applicable, for any Note is not a business day (as defined in the accompanying prospectus supplement), principal, premium, if any, and interest for that Note will be paid on the next business day, and no additional interest will accrue in respect of such payments made on the next business day.
 
Any payments due on the Notes, including any repayment of principal, will be subject to the creditworthiness of Lloyds Bank, as the Issuer, and LBG, as the Guarantor of the Issuer’s obligations under the Notes. A leading rating agency has placed certain of the Issuer's ratings, including its long-term ratings, under review for a downgrade (in accordance with its review of the ratings of Western European banks in general), and according to an announcement by that rating agency dated April 13, 2012, the review of the UK banks placed under review may be concluded before the end of June 2012. Such rating action may therefore fall on a date between the date hereof and the date of delivery of the Notes.  There can however be no assurance as to the actual timing of the conclusion of such review or any such rating action.
 
LBG and Lloyds Bank have filed a registration statement with the SEC for the offering to which this pricing supplement relates.  Before you invest, you should read this pricing supplement together with the prospectus dated December 22, 2010 (the “prospectus”) in that registration statement and other documents, including the more detailed information contained in the prospectus supplement dated November 25, 2011 (the “prospectus supplement”), that LBG and Lloyds Bank have filed with the SEC for more complete information about LBG and Lloyds Bank and this offering.  You may access these documents on the SEC website at.www.sec.gov.  LBG’s Central Index Key, or CIK, on the SEC website is 1160106 and Lloyds Bank’s CIK on the SEC website is 1167831.  The prospectus supplement and the prospectus may be accessed as follows (or if such address has changed, by reviewing LBG’s and Lloyds Bank’s filings for the relevant date on the SEC website):
 
     prospectus supplement dated November 25, 2011 and prospectus dated December 22, 2010
 
Investing in the Notes involves significant risks.  See “Risk Factors” beginning on page S-3 of the accompanying  prospectus supplement.
 
The Notes are not bank deposits and are not insured or guaranteed by the Federal Deposit Insurance Corporation or any other governmental agency.
 
None of the Securities and Exchange Commission, any state securities commission and any other regulatory body has approved or disapproved of these Notes or passed upon the adequacy or accuracy of this pricing supplement, the accompanying prospectus supplement or the accompanying prospectus.  Any representation to the contrary is a criminal offense.
 

June 18, 2012
 
 

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