Form 20-F X
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Form 40-F ___
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Yes
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___
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No X
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Title of Series
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ISIN
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Current Principal Amount Outstanding
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Specified Purchase Price
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Accrued Interest Payment*
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Aggregate Principal Amount Accepted for Purchase
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Aggregate Principal Amount to Remain Outstanding
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||||||||||
€1,000,000,000 4.750 per cent. Notes due 4 January 2014
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XS0180772484
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€1,000,000,000
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€1,041.00 per €1,000 principal amount
|
€1.43
|
€206,063,000
|
€793,937,000
|
||||||||||
S$110,000,000 Floating Rate Notes due 31 March 2014
|
XS0544939084
|
S$110,000,000
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S$253,000 per S$250,000 principal amount
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S$1,623.29
|
S$38,500,000
|
S$71,500,000
|
||||||||||
S$390,000,000 2.85 per cent. Notes due 31 March 2014
|
XS0544939167
|
S$390,000,000
|
S$254,500 per S$250,000 principal amount
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S$2,127.74
|
S$154,500,000
|
S$235,500,000
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||||||||||
Title of Series
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ISIN
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Current Principal Amount Outstanding
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Reference Benchmark
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Reference Yield
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Purchase Yield
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Purchase Price**
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Accrued Interest Payment*
|
Aggregate Principal Amount Accepted for Purchase
|
Aggregate Principal Amount to Remain Outstanding
|
|||||||
€1,250,000,000 4.875 per cent. Notes due 15 July 2015
|
XS0526338693
|
€1,051,474,000
|
Applicable Interpolated Mid-Swap Rate
|
0.549%
|
1.049%
|
€1,093.71
|
€24.58
|
€183,501,000
|
€867,973,000
|
|||||||
€1,000,000,000 4.25 per cent. Notes due 11 May 2016
|
XS0254035768
|
€1,000,000,000
|
Applicable Interpolated Mid-Swap Rate
|
0.668%
|
1.018%
|
€1,104.87
|
€28.99
|
€161,297,000
|
€838,703,000
|
|||||||
€1,000,000,000 4.75 per cent. Notes due 18 May 2016
|
XS0627824633
|
€740,990,000
|
Applicable Interpolated Mid-Swap Rate
|
0.671%
|
1.271%
|
€1,112.90
|
€31.49
|
€150,505,000
|
€590,485,000
|
|||||||
€2,000,000,000 4.875 per cent. Notes due 20 January 2017
|
XS0480133338
|
€1,607,070,000
|
Applicable Interpolated Mid-Swap Rate
|
0.780%
|
1.580%
|
€1,127.17
|
€48.08
|
€92,743,000
|
€1,514,327,000
|
|||||||
£882,777,000 6.375 per cent. Notes due 29 April 2014
|
XS0423324887
|
£728,896,000
|
5.00 per cent. UK Treasury Gilt due 2014
|
0.393%
|
1.243%
|
£1,065.23
|
£13.66
|
£115,521,000
|
£613,375,000
|
|||||||
£519,943,000 6.00 per cent. Notes due 17 May 2017
|
XS0497707744
|
£437,339,000
|
1.75 per cent. UK Treasury Gilt due 2017
|
0.843%
|
2.293%
|
£1,150.56
|
£39.95
|
£31,907,000
|
£405,432,000
|
|||||||
SFr.350,000,000 2.75 per cent. Notes due 8 October 2015
|
CH0117124179
|
SFr.350,000,000
|
Applicable Interpolated Mid-Swap Rate
|
0.146%
|
0.646%
|
SFr.5,283.74
|
SFr.37.05
|
SFr.85,525,000
|
SFr.264,475,000
|
|||||||
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* The Accrued Interest Payment represents interest accrued and unpaid per applicable Calculation Amount of the relevant Securities from (and including) the immediately preceding interest payment date for
such Securities to (but excluding) the Settlement Date.
|
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** Per €1,000, £1,000, SFr.5,000 or S$250,000 (each a "Calculation Amount") as applicable for such Securities.
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THE ROYAL BANK OF SCOTLAND GROUP plc (Registrant)
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By:
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/s/ Jan Cargill
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Name:
Title:
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Jan Cargill
Deputy Secretary
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THE ROYAL BANK OF SCOTLAND plc (Registrant)
|
By:
|
/s/ Jan Cargill
|
Name:
Title:
|
Jan Cargill
Deputy Secretary
|