Company: LLOBF
Filing Date: 2025-10-29
Form Type: 424B2
Source: 0000950103-25-013799
Chunk: 100

Company: Lloyds Banking Group plc
Filing Date: 2025-10-29
Form: 424B2
Chunk 100
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| · | whether the capital securities are intended to qualify for regulatory capital treatment as additional tier 1 capital or otherwise; |

| · | whether such capital securities will be dated capital securities with a specified maturity date or undated capital securities with 
 no specified maturity date;                                                                                                        |

| · | the annual interest rate or rates, or how to calculate the interest rate or rates; |

| · | the date or dates from which interest, if any, will accrue or the method, if any, by which such date or dates will be determined; |

| · | whether the payment of interest can or must be deferred or cancelled in certain circumstances or at our option, whether the payment 
 of principal can be deferred and the subordination terms;                                                                           |

| · | the price or prices at which they will be issued; |

| · | whether and how the capital securities may or must be converted into our ordinary shares or any other type of securities, or their 
 cash value, or a combination of these, including upon the occurrence of certain events that may give rise to such conversion;      |

| · | whether payments are subject to certain conditions that relate to our financial condition, including our capital ratios; |

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

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

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

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| · | the terms and conditions, if any, under which we may elect to substitute or vary the terms of the capital securities; |

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

| · | any index used to determine the amount of any payments on the capital securities; |

| · | any restrictions that apply to the offer, sale and delivery of the capital securities; |

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

| · | any listing on a securities exchange; |

| · | provisions relating to the