Company: LLOBF
Filing Date: 2025-06-06
Form Type: F-3ASR
Source: 0000950103-25-007096
Chunk: 69

Company: Lloyds Banking Group plc
Filing Date: 2025-06-06
Form: F-3ASR
Chunk 69
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| · | whether payments are conditional on our ability to make such payments and remain able to pay our debts as they fall due and that our 
 assets continue to exceed our liabilities;                                                                                           |

| · | the times and places for payment of the principal of and premium, if any, and any interest, if any, on the debt securities; |

| · | the terms of any mandatory or optional redemption, including the amount of any premium; |

| · | any repurchase or sinking fund provisions; |

| · | if other than the principal amount thereof, the portion of the principal amount of the debt securities payable upon acceleration or 
 redemption;                                                                                                                         |

| · | the currency or currencies in which they are denominated and in which we will make any payments; |

| · | whether the debt securities will be issued in whole or in part in the form of one or more global securities; |

| · | provisions, if any, for the exchange, modification or conversion of such debt securities, including, but not limited to, with respect                    
 to senior debt securities, the terms, if any, on which such senior debt securities may or will be converted into or exchanged at our option or otherwise 
 for our stock or other securities or for stock or other securities of another entity or other entities, into a basket or baskets of such                 
 securities, into an index or indices of such securities, into the cash value therefor or into any combination of the foregoing, any specific             
 terms relating to the adjustment thereof and the period during which such senior debt securities may or shall be so converted or exchanged;              |

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| · | whether the amounts of payment of principal of and premium, if any, or interest, if any, on the debt securities may be determined              
 with reference to an index or are otherwise not fixed on the original issue date thereof, the manner in which such amounts shall be determined 
 and the calculation agent, if any, who will be appointed and authorized to calculate such amounts;                                             |

| · | any modifications or additions to the events of default with respect to the debt securities offered; |

| · | whether and under what circumstances, if other than those described in this prospectus, we will pay additional amounts on the debt       
 securities and whether, and on what terms, if other than those described in this prospectus, we may redeem the debt securities following 
 certain developments with respect to tax laws;                                                                                           |

| · | provisions relating to the exercise of the U