|
Investment Aim |
To preserve the investor’s
capital at the guarantee level selected and in addition
to provide unlimited investment growth through a link to
the average growth of a UK Stockmarket index (FTSE 100
Index). The Investor has the ability to set the Capital
Guarantee to suit their own risk profile. |
|
Versions & Terms |
The investor selects the
level of Capital Guarantee that suits their risk
management requirements and receives the corresponding
Equity Growth Percentage. |
|
Capital
Guarantee |
85% |
90% |
95% |
100% |
|
Equity
Growth Percentage |
125% |
90% |
55% |
20% |
|
Guarantees held within the fund |
Issued by Barclays Bank
plc: The whole of the return defined in the Return
Formula is guaranteed, i.e. both the Capital Guarantee
Amount and the Equity Growth Amount. |
|
Custodian holding the Guarantees |
The Fund’s Custodian is
BNP Paribas Trust Company (Guernsey) Limited, part of
the BNP Paribas SA Group. The Custodian holds the
investor’s money and the assets of the Fund in their
name at all times. |
|
Investment Manager |
Structured Products
Management Limited is the designer and Investment
Manager. The investor does not invest in the Investment
Manager but via the Fund in assets issued by the
Guarantor (Barclays Bank plc) and held on the investor’s
behalf by the Custodian. |
|
Investment Period |
3 years from 22 October 2010
to 22 October 2013. |
|
Interest
on Early Investments |
Interest will be added
from the date of receipt until the Closing Date at a
rate of 2%pa. |
|
Charges |
There are no deductions
from the returns shown for charges. Investors will
receive the returns generated in accordance with the
Return Formula with no deductions for charges. |
|
Ownership |
The fund can be purchased
by individual investors in sole or multiple names, by
trustees, portfolio bonds, pension funds or by corporate
investors. The minimum investment is just £5,000, there
is no maximum investment. |