Home Products The Market Search: CUSIP, Text Product Type Buffered Capital Protected Notes Asset Class Commodities Equities Interest Rates Foreign Exchange Quick Links Current Offerings Recently Issued Top Movers About Us investor.products@rbs.com 1-866-747-4332 ------------------------- The Market My Markets Home Our Products Product Products List filter and explore Choose a Choose an asset Choose an Choose a product type: class: underlying: region: -------------------------------------------------------------------------------------------- Capital * Your choice * Choose asset class * Your Protected first choice * -------------------------------------------------------------------------------------------- MORE CRITERIA RESET SEARCH FILTERS 49 Products found ------- Number of 50 PDF Excel Add results: Print ------- Name CUSIP Maturity Strike Ref. Bid Ask % change Protection add 100.00 /a 9.91 00.91+0.03 Callable Fixed Rate Step-Up 04/15/26 % n/a n 9 1 %** 78009KSA1 ----------------------------------------------------------------------------------------- Callable Fixed Rate Step-Up 100.00 n/a n/a 100.02 101.02-0.52 03/31/19 % %** 78009KRZ7 ----------------------------------------------------------------------------------------- Callable Fixed Rate Step-Up 100.00 n/a n/a 98.30 99.30 -0.59 10/12/18 % %** 78009KMU3 ----------------------------------------------------------------------------------------- Callable Fixed Rate Step-Up 100.00 n/a n/a 99.09 100.09+0.00 02/25/21 % %** 78009KQZ8 ----------------------------------------------------------------------------------------- Callable Fixed Rate Step-Up 100.00 n/a n/a 100.14 101.14-0.45 02/25/26 % %** 78009KQX3 ----------------------------------------------------------------------------------------- Callable Fixed Rate Step-Up 100.00 n/a n/a 100.72 101.72-0.39 03/31/26 % %** 78009KRS3 ----------------------------------------------------------------------------------------- Callable Fixed Rate Step-Up 100.00 n/a n/a 102.20 103.20-0.48 03/22/18 % %** 78009KRM6 ----------------------------------------------------------------------------------------- Callable Fixed Rate Step-Up 100.00 n/a n/a 94.40 95.40 -0.44 12/28/20 % %** 78009KPQ9 ----------------------------------------------------------------------------------------- Callable Fixed Rate Step-up 100.00 n/a n/a 86.71Sold -0.13 12/02/30 % out %** 78009KPE6 ----------------------------------------------------------------------------------------- Callable Fixed Rate Step-up 100.00 n/a n/a 90.23 91.23 -0.50 10/28/22 % %** 78009KMZ2 ----------------------------------------------------------------------------------------- Callable Fixed Rate Step-up 100.00 n/a n/a 83.16Sold -0.12 10/29/30 % out %** 78009KNA6 ----------------------------------------------------------------------------------------- Callable Fixed to Floating Rate Note 100.00 n/a n/a 87.58 88.58 +0.69 linked to 3-Month 10/29/20 % %** LIBOR 78009KMV1 ----------------------------------------------------------------------------------------- Callable Floating Rate Note linked to 100.00 n/a n/a 92.41 93.41 +1.06 the 3 Month LIBOR 11/22/18 % %** 78009KNS7 ----------------------------------------------------------------------------------------- Capital Protected Note linked to 100.00 1.762 n/a 98.22 99.22 -0.18 Currency Basket 04/30/14 % %** 78009KFP2 ----------------------------------------------------------------------------------------- Capital Protected Note linked to 100.00 6.827 n/a 101.10 102.10-0.53 USD/CNY (Reuters) 03/31/14 % %** 78009KEF5 ----------------------------------------------------------------------------------------- Capped Fixed-to-Floating Rate Note 100.00 n/a n/a 93.50 94.50 -0.22 linked to the Consumer 03/15/21 % %** Price Index 78009KRJ3 ----------------------------------------------------------------------------------------- Capped Fixed-to-Floating Rate Note 100.00 n/a n/a 99.67 100.67-0.26 linked to the Consumer 03/15/16 % %** Price Index 78009KRL8 ----------------------------------------------------------------------------------------- Capped Fixed-to-Floating Rate Notes linked to 100.00 n/a n/a 96.13 97.13 +0.01 the Consumer 03/31/18 % %** Price Index 78009KRY0 ----------------------------------------------------------------------------------------- Dow Jones Industrial Average SHIELD 100.00 9,191.09 104.93 105.93-0.31 11/13/13 % 11,006.00 %** 00079FBM3 ----------------------------------------------------------------------------------------- Fixed Rate 100.00 n/a n/a 91.73 92.73 -0.40 Step-Up 11/16/20 % %** 78009KNR9 ----------------------------------------------------------------------------------------- |
Maturity % change Protection Strike Ref. Bid Ask add 100.00 5.93 0.07 Fixed Rate Step-Up 08/11/20 % n/a n/a 9 96.93+ %** 78009KLF7 ----------------------------------------------------------------------------------------- Fixed to Float linked to the 10yr CMS 100.00 n/a n/a 94.41 95.41-0.98 09/16/20 % %** 78009KME9 ----------------------------------------------------------------------------------------- Fixed to Float linked to the 3-Month 100.00 n/a n/a 90.07 91.07-1.87 LIBOR 10/27/17 % %** 78009KNB4 ----------------------------------------------------------------------------------------- Fixed to Float linked to the 3-Month 100.00 0.34 n/a 98.64 99.64+0.00 LIBOR 08/19/17 % %** 78009KMB5 ----------------------------------------------------------------------------------------- Fixed to Floating Note Linked to the 100.00 n/a n/a 87.40 88.40-1.45 3-Month LIBOR 09/28/18 % %** 78009KMG4 ----------------------------------------------------------------------------------------- Fixed to Floating Rate Note linked to 100.00 n/a n/a 90.61 91.61-0.34 the USD 3 Month Libor 09/20/17 % %** 78009KMF6 ----------------------------------------------------------------------------------------- Indian ADR Basket Capital Protected Note 100.00 100 91.00 102.34Sold -0.08 03/13/12 % out %** 00078UER7 ----------------------------------------------------------------------------------------- Leveraged CPI Linked Securities With 100.00 26.3 n/a 80.86 81.86+0.72 Fixed First-Year 01/13/20 % %** Coupon 00079FHN5 ----------------------------------------------------------------------------------------- Leveraged CPI Linked Securities With 100.00 0 n/a 98.90 99.90+0.00 Fixed First-Year 01/20/15 % %** Coupon 00079FHS4 ----------------------------------------------------------------------------------------- RBS Capped Fixed-to-Floating Rate Notes n/a n/a 95.01 96.01-1.23 06/14/21 %** 78009PAP6 ----------------------------------------------------------------------------------------- RBS Capped Fixed-to-Floating Rate Notes 100.00 n/a n/a 97.24 98.24+0.58 linked to the 05/25/21 % %** Consumer Price Index 78009PAM3 ----------------------------------------------------------------------------------------- RBS Capped Market-Linked Note linked to the n/a n/a S and P 500 Index 02/28/17 78009PBG5 ----------------------------------------------------------------------------------------- RBS Capped Market-Linked Note linked to the n/a n/a S and P 500 Index 07/29/16 78009PAX9 ----------------------------------------------------------------------------------------- RBS Capped Market-Linked Notes linked 100.00 n/a n/a to the S and P 500 12/15/16 % Index 78009PAN1 ----------------------------------------------------------------------------------------- RBS Capped Market-Linked Principal 100.00 n/a 1,143.0088.32 89.32+0.27 Protected Notes linked 11/30/16 % %** to the S and P 500 Index 78009PAL5 ----------------------------------------------------------------------------------------- RBS Capped Market-Linked Principal 100.00 n/a 1,147.2089.64 90.79+0.40 Protected Notes linked 08/16/16 % %** to the S and P 500 Index 78009PAG6 ----------------------------------------------------------------------------------------- RBS Capped Market-Linked Principal 100.00 n/a 1,142.7090.75 91.75+0.23 Protected Notes 04/29/16 % %** Linked to the S and P 500 Index 78009PAF8 ----------------------------------------------------------------------------------------- RBS Market-Linked Notes linked to the 100.00 n/a n/a SPDR Dow Jones 03/01/16 % Industrial Average ETF Trust 78009PBM2 ----------------------------------------------------------------------------------------- RICI Agriculture Excess Return Index PPN 100.00 1,241.1,102.5099.53 100.53+0.03 12/28/11 % %** 00078UR51 ----------------------------------------------------------------------------------------- S and P 500 SHIELD 100.00 1,109.1,154.20103.40 104.40+0.29 12/24/13 % %** 00079FDB5 ----------------------------------------------------------------------------------------- S and P 500 SHIELD 100.00 1,156.1,153.70100.40 101.40-0.10 12/10/13 % %** 00079FCY6 ----------------------------------------------------------------------------------------- S and P 500 SHIELD 100.00 1,029.1,153.20108.80 109.80+0.00 10/08/13 % %** 00079FBX9 ----------------------------------------------------------------------------------------- S and P 500 SHIELD 100.00 1,021.1,153.20110.70 111.70-0.27 09/10/13 % %** 00079FBR2 ----------------------------------------------------------------------------------------- S and P 500 SHIELD 100.00 998.141,072.00102.90 103.90-1.80 01/16/14 % %** 00079FBH4 ----------------------------------------------------------------------------------------- Steepener linked to the USD CMS 10 100.00 n/a n/a 85.95 86.95+3.27 years - USD CMS 2 12/13/28 % %** years 78009KPH9 ----------------------------------------------------------------------------------------- Steepener linked to the USD CMS 30 n/a n/a 99.50 100.50+3.71 years - USD CMS 2 02/25/31 %** years 78009KQW5 ----------------------------------------------------------------------------------------- Steepener linked to the USD CMS 30 100.00 n/a n/a 97.17 98.17+4.19 Years - USD CMS 2 12/30/30 % %** years 78009KPR7 ----------------------------------------------------------------------------------------- |
Maturity % change Protection Strike Ref. Bid Ask add Steepener linked to the USD CMS 30 100.00 +2.75 years - USD CMS 2 04/12/26 % n/a n/a 101.60 102.6%** years 78009KSD5 ----------------------------------------------------------------------------------------- USD 3 Month Libor Capital Protected 100.00 n/a n/a Note 07/21/21 % 78009PBD2 ----------------------------------------------------------------------------------------- Live On Off updates ----- Page 1 of 1 1 ----- 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 parent company. Disclaimer Prices provided through the website are indicative only and thus may reflect estimates or approximations rather than actual prices at which we would transact in a note or other financial instrument. These prices may be generated by an automatic system that takes various factors into consideration, including information obtained from third parties. We may carry the related notes or financial instruments on our books at prices other than those provided through the website. In addition, assuming no change in market conditions and all other relevant factors remaining constant, any secondary prices will likely be lower than the issue price since the issue prices included, and the secondary market prices are likely to exclude, commission, discounts, costs or mark-ups with respect to the notes or financial instruments, as well as the profit component included in the cost of hedging our obligations under these securities. Prices on the website (including those of listed securities on any U.S. securities exchange or quotation system) might lag actual market prices. Prices should therefore be used as a general guide only and should not be understood as the price at which we would purchase or make a bid for a security or as a guarantee by us of the accuracy or currency of such prices or of the realizable value of the related securities. The information on the website reflects certain assumptions and is derived from proprietary models based upon well recognized financial principles and reasonable estimates about market conditions. Valuations and prices based on other models or different assumptions may yield different results. The information may not reflect the prices or valuation you would obtain from any other source, or which you would receive from another dealer. 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 indicative of future results. SEC Legend 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 States Securities and Exchange Commission (the "SEC") for the offering of securities that are issued by RBS N.V. and guaranteed by RBS Holdings N.V. or that are issued by RBS plc and guaranteed by The Royal Bank of Scotland Group plc. Before you invest in any securities referenced on this website, you should read the prospectus in the relevant registration statement and other documents that have been filed with the SEC for more complete information about relevant issuer and guarantor, and their respective offerings. You may get these documents for free by visiting EDGAR on the SEC's website at www.sec.gov. Alternatively, RBS N.V., RBS plc, or their affiliates will arrange to send you the prospectus if you request it by calling toll free 1-866-747-4332. ** From close of business yesterday Terms and Conditions Privacy Statement |