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BARCLAYS BANK PLC Barclays Capital

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- 97 -<br />

SUPPLEMENTAL TERMS AND CONDITIONS OF THE [NOTES] [CERTIFICATES] FOR<br />

BOND LINKED [NOTES][CERTIFICATES]<br />

The general Terms and Conditions shall be supplemented or amended by inserting the provisions set<br />

out below. The relevant Final Terms will determine whether the following conditions for Bond Linked<br />

[Notes][Certificates] shall be applicable.<br />

§4a<br />

(Definitions)<br />

["Basket" means a basket composed of [insert Bonds and Bond Issuers] [Bonds of each Bond Issuer<br />

specified in the Final Terms] in the relative proportions or numbers [specified in the Final Terms] [of<br />

[specify proportion or number of each Bond]].]<br />

"Bond[s]" or "Underlying Securities" means [specify bond(s) or underlying securities].<br />

["Bond Basket Transaction" means [this issue of [Notes][Certificates]] [an issue of<br />

[Notes][Certificates] specified as such in the relevant Final Terms].]<br />

"Bond Issuer" means the issuer of the [relevant] Bond[s].<br />

"Bond Linked [Note][Certificate]" means a security where the payment of the redemption amount<br />

and/or interest is linked to the performance of a bond or bonds.<br />

"Bond Linked Redemption Amount" means an amount [, which shall never be less than the<br />

Protection Amount,] calculated by the Determination Agent on the Bond Valuation Date at the Bond<br />

Valuation Time in accordance with the following formula: [insert relevant formula].<br />

"Bond Valuation Date" means [insert date].<br />

"Bond Valuation Time" means [insert time and Financial Center] on the Bond Valuation Date.<br />

["Delisting" means that the Exchange announces that pursuant to the rules of such Exchange, the<br />

Bond[s] cease[es] (or will cease) to be listed, traded or publicly quoted on the Exchange for any reason<br />

(other than a Tender Offer) and is [are] not immediately re-listed, re-traded or re-quoted on an<br />

exchange or quotation system located in the same country as the Exchange (or, where the Exchange is<br />

within the European Union, in any Member State of the European Union).]<br />

"Delivery Agent" means [specify name and address of delivery agent].<br />

"Disruption Cash Settlement Price" means [specify amount].<br />

"Disrupted Day" means any Scheduled Trading Day on which a relevant Exchange or any Related<br />

Exchange fails to open for trading during its regular trading session or on which a Market Disruption<br />

Event has occurred.<br />

"Early Closure" means the closure on any Exchange Business Day of the relevant Exchange or any<br />

Related Exchange(s) prior to its Scheduled Closing Time unless such earlier closing time is announced<br />

by such Exchange(s) or Related Exchange(s) at least one hour prior to the earlier of (i) the actual<br />

closing time for the regular trading session on such Exchange(s) or Related Exchange(s) on such<br />

Exchange Business Day and (ii) the submission deadline for orders to be entered into the Exchange or<br />

Related Exchange system for execution at the Valuation Time on such Exchange Business Day.<br />

"Exchange" means each exchange or quotation system specified as such hereon for the [relevant]<br />

Bond[s], any successor to such exchange or quotation system or any substitute exchange or quotation<br />

system to which trading in such Bond[s] has temporarily relocated (provided that the Determination<br />

Agent has determined that there is comparable liquidity relative to such Bond[s] on such temporary<br />

substitute exchange or quotation system as on the original Exchange).

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