-
Capital securities tier 1

Capital securities - Tier 1

Documentation related to certain outstanding Tier 1 securities issued by Barclays

By accessing any of the information below, you expressly agree to the terms and conditions set out in the disclaimer.

Notice dated 25 June 2015 relating to all of Barclays Bank PLC issued Preference Shares: Barclays Bank PLC - Notice under the UK Small Business, Enterprise and Employment Act 2015 (PDF 106KB)

Notice dated 30 July 2015 relating to the completion of the change to registered form of all of Barclays Bank PLC issued Preference Shares: Barclays Bank PLC – Completion of Preference Shares Change to Registered Form (PDF 8KB).

Contingent Tier 1

Issue Year ISIN Currency Issued Amount (m) Description Type of Offering
2022 US06738EBX22 USD 2,000 8.000% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 844KB) SEC Registered
2022 XS2498454342 SGD 450 8.300% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 1.1MB) Reg S
2022 XS2492482828 GBP 1,250 8.875% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 1MB) Reg S
2021 US06738EBT10 USD 1,500 4.375% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 1MB) SEC Registered
2020 US06738EBN40 USD 1,500 6.125% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 564KB) SEC Registered
2019 XS2049810356
GBP 1,000 6.375% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 1.6KB)
Reg S
2019 XS1998799792 GBP 1,000 7.125% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 1.6KB) SEC Registered
2019 US06738EBG98 USD 2,000 8% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 560KB)
SEC Registered
2018 US06738EBA29
USD 2,500
7.750% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 1.6MB)
SEC Registered
2017 XS1658012023
GBP 1,250

5.875% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 653KB)

Extraordinary Resolution dated 31 December 2020 (PDF 272KB)

Reg S
2017
XS1571333811
GBP
1,250

7.25% Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities (PDF 880KB)

Extraordinary Resolution dated 31 December 2020 (PDF 275KB)

Reg S

Preference Shares

Issue Year ISIN Currency Issued Amount (m) Description Type of Offering
2005 US06738C8284
USD
1,000 6.278% Non-Cumulative Callable Preference Shares, Series 1 - Prospectus (PDF 372KB)

Filing details

 

SEC Registered

 

2005 XS0214398199
EUR 1,400 4.75% Non-Cumulative Callable Preference Shares - Prospectus (PDF 380KB)

 

Reg S

 

Reserve Capital Instruments

Issue Year ISIN Currency Issued Amount (m) Description Type of Offering
2006

 

XS0248675364

 

GBP

 

500

 

5.3304% Step-up Callable Reserve Capital Instruments - Prospectus (PDF 316KB)

 

Extraordinary Resolution dated 16 December 2020 (PDF 280KB)

Reg S

“SEC Registered” refers to the documents and related offerings of securities that have been registered with the US Securities Exchange Commission (“SEC”) under the Securities Act.

“Reg S” refers to the documents and related offerings of securities under Regulation S, the SEC rules exempting securities offerings outside of the US conducted in accordance with the provisions of Regulation S.

“Reg S / Rule 144A” refers to the documents and related offerings of securities conducted (i) outside of the United States in accordance with Regulation S and (ii) in the United States under Rule 144A only to Qualified Institutional Buyers (as defined in Rule 144A).

Persons in the United States and US persons outside of the United States should not access the Reg S and the Reg S / 144A documents on these webpages.