Notices of Redemption
RBS Capital Trust III ("Trust III")
and
The Royal Bank of Scotland Group plc (the "Bank")
(collectively, the "Issuers")
The holders of the following securities (the "Securities") have been notified by the Issuers of the upcoming redemption of the Securities on 30 January 2015:
A. the $950,000,000 5.512% Non-Cumulative Trust Preferred Securities issued by Trust III pursuant to the Amended and Restated Declaration of Trust dated 24 August 2004 of Trust III (ISIN Code: US74927QAA58) (the "TPSs"); and
B. the US$950,001,000 Fixed/Floating Rate Callable Subordinated Notes due 2044 issued by the Bank pursuant to the Trust Deed dated 24 August 2004 (ISIN Code: XS0199720623).
As a result of previous public tender offers for the TPSs, the Bank already holds $593,473,000 of TPSs.
The Securities are being redeemed as a result of a regulatory redemption event. Terms used but not defined herein shall have the meaning given to them in the relevant notice of redemption. The Issuers have sent the notices to the holders pursuant to the terms of the Securities. To view the notices, please click on the links below.
http://www.rns-pdf.londonstockexchange.com/rns/6092A_-2014-12-23.pdf
http://www.rns-pdf.londonstockexchange.com/rns/6092A_1-2014-12-23.pdf
For further information, please contact:
Matthew Richardson
The Royal Bank of Scotland Group plc
250 Bishopsgate, London, EC2M 4AA
TEL: +44 20 7672 1758
FAX: +44 20 7672 1801