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RIGHTS ISSUE STATISTICS
+--------------------------------------------------------------+--------------------+
| Issue Price per New Share | 37 pence |
+--------------------------------------------------------------+--------------------+
| Discount of Issue Price to the Closing Price on 23 November | 59.5 per cent. |
| 2009 (being the last practicable date before the publication | |
| of this announcement) | |
+--------------------------------------------------------------+--------------------+
| Discount of Issue Price to theoretical ex-rights price based | 38.6 per cent. |
| on the Closing Price on 23 November 2009 | |
+--------------------------------------------------------------+--------------------+
| Basis of Rights Issue | 1.34 New Shares | for every 1 | Existing Ordinary | Share |
+--------------------------------------------------------------+--------------------+
| Number of Ordinary Shares in issue as at the date of this | 27,161,682,366 |
| announcement | |
+--------------------------------------------------------------+--------------------+
| Number of Ordinary Shares to be issued by Lloyds Banking | 36,505,088,579 |
| Group pursuant to the Rights Issue | |
+--------------------------------------------------------------+--------------------+
| New Shares as a percentage of Actual Enlarged Share Capital | 57.3 per cent. |
| of Lloyds Banking Group immediately following completion of | |
| the Rights Issue(1) and Share Subdivision | |
+--------------------------------------------------------------+--------------------+
| Expected gross proceeds of the Rights Issue receivable by | GBP13,506,882,774 |
| Lloyds Banking Group | |
+--------------------------------------------------------------+--------------------+
(1) On the assumption that no further Ordinary Shares are issued as a result of
the exercise of any options under any Lloyds Banking Group Employee Share Plans
between the date of this announcement and the closing of the Rights Issue.
EXPECTED TIMETABLE OF PRINCIPAL EVENTS
+--------------------------------------------------------------+-------------------+
| Record Date for entitlement under the Rights Issue for | Close of business |
| Qualifying CREST Shareholders and Qualifying Non-CREST | on 20 November |
| Shareholders and for holders of Limited Voting Shares for | 2009 |
| the LVS Capitalisation Issue | |
+--------------------------------------------------------------+-------------------+
| Announcement of Issue Price and entitlements of Qualifying | 7.00 a.m. on 24 |
| Shareholders | November 2009 |
+--------------------------------------------------------------+-------------------+
| Latest time and date for receipt of Forms of Proxy for the | 11.00 a.m. on 24 |
| General Meeting | November 2009 |
+--------------------------------------------------------------+-------------------+
| General Meeting | 11.00 a.m. on 26 | November 2009 |
+--------------------------------------------------------------+-------------------+
| LVS Record Date for entitlement under the Rights Issue for | 4.30 p.m. on 26 |
| Qualifying LV Shareholders | November 2009 |
+--------------------------------------------------------------+-------------------+
| Share Subdivision becomes effective | Close of business | on 26 November |
2009 |
+--------------------------------------------------------------+-------------------+
| Despatch of Provisional Allotment Letters (to Qualifying | 26 November 2009 |
| Non-CREST Shareholders only) | |
+--------------------------------------------------------------+-------------------+
| Start of subscription period | 26 November 2009 |
+--------------------------------------------------------------+-------------------+
| Admission | 8.00 a.m. on 27 | November 2009 |
+--------------------------------------------------------------+-------------------+
| Dealings in New Shares, nil paid, commence on the London | 8.00 a.m. on 27 |
| Stock Exchange | November 2009 |
+--------------------------------------------------------------+-------------------+
| Existing Ordinary Shares marked "ex-rights" by the London | 8.00 a.m. on 27 | November 2009 |
+--------------------------------------------------------------+-------------------+
| Nil Paid Rights credited to stock accounts in CREST | 8.00 a.m. on 27 |
| (Qualifying CREST Shareholders only) | November 2009 |
+--------------------------------------------------------------+-------------------+
| Nil Paid Rights and Fully Paid Rights enabled in CREST | 8.00 a.m. on 27 |
| | November 2009 |
+--------------------------------------------------------------+-------------------+
| Recommended latest time for requesting withdrawal of Nil | 3.00 p.m. on 4 |
| Paid Rights and Fully Paid Rights from CREST (i.e. if your | December 2009 |
| Nil Paid Rights and Fully Paid Rights are in CREST and you | |
| wish to convert them to certificated form) | |
+--------------------------------------------------------------+-------------------+
| Latest time for depositing renounced Provisional Allotment | 3.00 p.m. on 8 |
| Letters, nil or fully paid, into CREST or for | December 2009 |
| dematerialising Nil Paid Rights or Fully Paid Rights into a | |
| CREST stock account (i.e. if your Nil Paid Rights and Fully | |
| Paid Rights are represented by a Provisional Allotment | |
| Letter and you wish to convert them to uncertificated form) | |
+--------------------------------------------------------------+-------------------+
| Latest time and date for splitting Provisional Allotment | 3.00 p.m. on 9 |
| Letters, nil or fully paid | December 2009 |
+--------------------------------------------------------------+-------------------+
| Latest time and date for acceptance, payment in full and | 11.00 a.m. on 11 |
| registration or renunciation of Provisional Allotment | December 2009 |
| Letters | |
+--------------------------------------------------------------+-------------------+
| Dealings in New Shares, fully paid, commence on the London | 8.00 a.m. on 14 |
| Stock Exchange | December 2009 |
+--------------------------------------------------------------+-------------------+
| New Shares credited to CREST accounts | by 14 December |
| | 2009 |
+--------------------------------------------------------------+-------------------+
| Despatch of definitive share certificates for the New Shares | by 29 December 2009
| in certificated form |
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