0001193125-24-212618.txt : 20240904 0001193125-24-212618.hdr.sgml : 20240904 20240904064857 ACCESSION NUMBER: 0001193125-24-212618 CONFORMED SUBMISSION TYPE: FWP PUBLIC DOCUMENT COUNT: 2 FILED AS OF DATE: 20240904 DATE AS OF CHANGE: 20240904 SUBJECT COMPANY: COMPANY DATA: COMPANY CONFORMED NAME: BARCLAYS PLC CENTRAL INDEX KEY: 0000312069 STANDARD INDUSTRIAL CLASSIFICATION: COMMERCIAL BANKS, NEC [6029] ORGANIZATION NAME: 02 Finance IRS NUMBER: 000000000 STATE OF INCORPORATION: X0 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: FWP SEC ACT: 1934 Act SEC FILE NUMBER: 333-277578 FILM NUMBER: 241275824 BUSINESS ADDRESS: STREET 1: 1 CHURCHILL PLACE STREET 2: CANARY WHARF CITY: LONDON STATE: X0 ZIP: E14 5HP BUSINESS PHONE: 00442031340952 MAIL ADDRESS: STREET 1: 1 CHURCHILL PLACE STREET 2: CANARY WHARF CITY: LONDON STATE: X0 ZIP: E14 5HP FORMER COMPANY: FORMER CONFORMED NAME: BARCLAYS BANK PLC DATE OF NAME CHANGE: 19850313 FORMER COMPANY: FORMER CONFORMED NAME: BARCLAYS BANK LTD DATE OF NAME CHANGE: 19820607 FILED BY: COMPANY DATA: COMPANY CONFORMED NAME: BARCLAYS PLC CENTRAL INDEX KEY: 0000312069 STANDARD INDUSTRIAL CLASSIFICATION: COMMERCIAL BANKS, NEC [6029] ORGANIZATION NAME: 02 Finance IRS NUMBER: 000000000 STATE OF INCORPORATION: X0 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: FWP BUSINESS ADDRESS: STREET 1: 1 CHURCHILL PLACE STREET 2: CANARY WHARF CITY: LONDON STATE: X0 ZIP: E14 5HP BUSINESS PHONE: 00442031340952 MAIL ADDRESS: STREET 1: 1 CHURCHILL PLACE STREET 2: CANARY WHARF CITY: LONDON STATE: X0 ZIP: E14 5HP FORMER COMPANY: FORMER CONFORMED NAME: BARCLAYS BANK PLC DATE OF NAME CHANGE: 19850313 FORMER COMPANY: FORMER CONFORMED NAME: BARCLAYS BANK LTD DATE OF NAME CHANGE: 19820607 FWP 1 d872906dfwp.htm FWP FWP

Free Writing Prospectus

Filed pursuant to Rule 433

Registration Statement No. 333-277578

 

 

 

LOGO

$1,000,000,000 4.837% Fixed-to-Floating Rate Senior Callable Notes due 2028

Barclays PLC

 

 

PRICING TERM SHEET

 

Issuer:

   Barclays PLC (the “Issuer”)

Notes:

   $1,000,000,000 4.837% Fixed-to-Floating Rate Senior Callable Notes due 2028 (the “2028 notes”)

Expected Issue Ratings1:

   Baa1 (Moody’s) / BBB+ (S&P) / A (Fitch)

Status:

   Senior Debt / Unsecured

Legal Format:

   SEC registered

Principal Amount:

   $1,000,000,000

Trade Date:

   September 3, 2024

Settlement Date:

   September 10, 2024 (T+5) (the “Issue Date”)

Maturity Date:

   September 10, 2028 (the “2028 Notes Maturity Date”)

Fixed Rate Period Coupon:

   From (and including) the Issue Date to (but excluding) the 2028 Notes Par Redemption Date (as defined below) (the “2028 Notes Fixed Rate Period”), the 2028 notes will bear interest at a rate of 4.837% per annum.

Floating Rate Period Coupon:

  

From (and including) the 2028 Notes Par Redemption Date to (but excluding) the 2028 Notes Maturity Date (the “2028 Notes Floating Rate Period”), the applicable per annum interest rate will be equal to the Benchmark (as defined below, such term subject to the provisions described under “Description of Senior Notes” in the Preliminary Prospectus Supplement) as determined on the applicable Interest Determination Date (as defined below), plus the 2028 Notes Margin (as defined below) (the “2028 Notes Floating Interest Rate”). The 2028 Notes Floating Interest Rate will be calculated quarterly on each Interest Determination Date.

 

During the 2028 Notes Floating Rate Period, each interest period on the 2028 notes will begin on (and include) a 2028 Notes Floating Rate Period Interest Payment Date (as defined below) and end on (but exclude) the next succeeding 2028 Notes Floating Rate Period Interest Payment Date (each, a “2028 Notes Floating Rate Interest Period”); provided that the first 2028 Notes Floating Rate Interest Period will begin on (and include) the 2028 Notes Par Redemption Date and will end on (but exclude) the first 2028 Notes Floating Rate Period Interest Payment Date.

Par Redemption Date:

   September 10, 2027 (the “2028 Notes Par Redemption Date”)

Fixed Rate Period Interest Payment Dates:

   During the 2028 Notes Fixed Rate Period, interest will be payable semi-annually in arrear on March 10 and September 10 in each year, from (and including) March 10, 2025 up to (and including) the 2028 Notes Par Redemption Date.

 

1 

Note: A securities rating is not a recommendation to buy, sell or hold securities and may be subject to revision or withdrawal at any time.


Floating Rate Period Interest Payment Dates:

   During the 2028 Notes Floating Rate Period, interest will be payable quarterly in arrear on December 10, 2027, March 10, 2028, June 10, 2028, and the 2028 Notes Maturity Date (each, a “2028 Notes Floating Rate Period Interest Payment Date”).

Interest Determination Dates:

   The second USGS Business Day preceding the applicable Floating Rate Period Interest Payment Date (each, an “Interest Determination Date”).

Benchmark:

   Compounded Daily SOFR (calculated as described under “Description of Senior Notes—Calculation of the Benchmark” in the Preliminary Prospectus Supplement), subject to the Benchmark Transition Provisions.

Day Count:

  

30/360, Following, Unadjusted, for the 2028 Notes Fixed Rate Period.

 

Actual/360, Modified Following, Adjusted, for the 2028 Notes Floating Rate Period.

Business Days:

   Any weekday, other than one on which banking institutions are authorized or obligated by law, regulation or executive order to close in London, England or in the City of New York, United States.

Preliminary Prospectus Supplement:

   Preliminary Prospectus Supplement dated September 3, 2024 (the “Preliminary Prospectus Supplement,” incorporating the Prospectus dated March 1, 2024 relating to the 2028 notes (the “Base Prospectus”)). If there is any discrepancy or contradiction between this Pricing Term Sheet and the Preliminary Prospectus Supplement, this Pricing Term Sheet shall prevail.

U.K. Bail-in Power Acknowledgement:

   Yes. See the section entitled “Description of Senior Notes—Agreement with Respect to the Exercise of U.K. Bail-in Power” in the Preliminary Prospectus Supplement and “Description of Debt Securities—Agreement with Respect to the Exercise of U.K. Bail-in Power” in the Base Prospectus.

Ranking:

   The ranking of the 2028 notes is described under “Description of Senior Notes—Ranking” in the Preliminary Prospectus Supplement.

Optional Redemption:

  

The Issuer may, at its option, redeem (i) the 2028 notes in whole or in part, pursuant to the 2028 Notes Make-Whole Redemption at any time on or after March 10, 2025 to (but excluding) the 2028 Notes Par Redemption Date; and/or (ii) the 2028 notes then outstanding, in whole but not in part, on the 2028 Notes Par Redemption Date, at an amount equal to 100% of their principal amount together with accrued but unpaid interest, if any, on the principal amount of the 2028 notes to be redeemed to (but excluding) the redemption date, on the terms and subject to the provisions set forth in the Preliminary Prospectus Supplement under “Description of Senior Notes—Optional Redemption.”

 

For purposes of the 2028 Notes Make-Whole Redemption, the 2028 Notes Discount Factor is 20 bps.

Tax Redemption:

   The 2028 notes are also redeemable as described under “Description of Senior Notes—Tax Redemption” in the Preliminary Prospectus Supplement.

Loss Absorption Disqualification Event Redemption:

   The 2028 notes are also redeemable as described under “Description of Senior Notes—Loss Absorption Disqualification Event Redemption” in the Preliminary Prospectus Supplement.

Margin:

   134 bps (the “2028 Notes Margin”)

Benchmark Treasury:

   UST 3.750% due August 15, 2027

Spread to Benchmark Treasury:

   110 bps

Reoffer Yield:

   4.837%

Price to Public:

   100.000%

Underwriting Discount:

   0.250%


Net Proceeds:

   $997,500,000

Sole Bookrunner:

   Barclays Capital Inc.

Senior Co-Managers:

   Citigroup Global Markets Inc., J.P. Morgan Securities LLC, UBS Securities LLC

Co-Managers:

   Cabrera Capital Markets LLC, Capital One Securities, Inc., CAVU Securities LLC, Citizens JMP Securities, LLC, Great Pacific Securities, SEB Securities, Inc., Truist Securities, Inc.

Risk Factors:

   An investment in the 2028 notes involves risks. See “Risk Factors” section beginning on page S-24 of the Preliminary Prospectus Supplement.

Denominations:

   $200,000 and integral multiples of $1,000 in excess thereof.

ISIN/CUSIP:

   US06738ECT01/06738E CT0

Legal Entity Identifier (“LEI”) Code:

   213800LBQA1Y9L22JB70

Settlement:

   The Depository Trust Company; Book-entry; Transferable

Documentation:

   To be documented under the Issuer’s shelf registration statement on Form F-3 (No. 333-277578) and to be issued pursuant to the Senior Debt Securities Indenture dated January 17, 2018 (as heretofore supplemented and amended), between the Issuer and The Bank of New York Mellon, London Branch, as trustee (the “Trustee”), as amended and supplemented by the Eighteenth Supplemental Indenture, to be entered into on or about the Issue Date, between the Issuer, the Trustee and The Bank of New York Mellon SA/NV, Luxembourg Branch, as senior debt security registrar.

Listing:

   We will apply to list the 2028 notes on the New York Stock Exchange.

Calculation Agent:

   The Bank of New York Mellon, New York, or its successor appointed by the Issuer.

Governing Law:

   New York law, except for the waiver of set-off provisions which will be governed by English law.

Definitions:

   Unless otherwise defined herein, all capitalized terms have the meaning set forth in the Preliminary Prospectus Supplement.

The Issuer has filed a registration statement (including the Base Prospectus) and the Preliminary Prospectus Supplement with the U.S. Securities and Exchange Commission (“SEC”) for this offering. Before you invest, you should read the Base Prospectus and the Preliminary Prospectus Supplement for this offering in that registration statement, and other documents the Issuer has filed with the SEC for more complete information about the Issuer and this offering. You may get these documents for free by searching the SEC online database (EDGAR) at www.sec.gov. Alternatively, you may obtain a copy of the Base Prospectus and the Preliminary Prospectus Supplement from Barclays Capital Inc. by calling +1-888-603-5847.

It is expected that delivery of the 2028 notes will be made, against payment of the 2028 notes, on or about September 10, 2024, which will be the fifth (5th) business day in the United States following the date of pricing of the 2028 notes. Under Rule 15c6-1 under the Securities Exchange Act of 1934, purchases or sales of 2028 notes in the secondary market generally are required to settle within one (1) business day (T+1), unless the parties to any such transaction expressly agree otherwise. Accordingly, purchasers who wish to trade the 2028 notes on any day prior to the business day before delivery will be required, by virtue of the fact that the 2028 notes initially will not settle on T+1, to specify any alternate settlement cycle at the time of any such trade to prevent a failed settlement. Purchasers of the 2028 notes who wish to make such trades should consult their own advisors.

No EEA PRIIPs key information document (KID) has been prepared as the 2028 notes are not available to retail in the EEA. No UK PRIIPs KID has been prepared as the 2028 notes are not available to retail in the United Kingdom.


This communication is being distributed to, and is directed only at, persons in the United Kingdom in circumstances where section 21(1) of the Financial Services and Markets Act 2000, as amended, does not apply (such persons being referred to as “relevant persons”). Any person who is not a relevant person should not act or rely on this communication or any of its contents. Any investment activity (including, but not limited to, any invitation, offer or agreement to subscribe, purchase or otherwise acquire securities) to which this communication relates will only be available to, and will only be engaged with, relevant persons.

To the extent any underwriter that is not a U.S. registered broker-dealer intends to effect any offers or sales of any 2028 notes in the United States, it will do so through one or more U.S. registered broker-dealers in accordance with the applicable U.S. securities laws and regulations.

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