Company: BCS
Filing Date: 2025-02-19
Form Type: 424B2
Source: 0001193125-25-029335
Chunk: 24

Company: BARCLAYS PLC
Filing Date: 2025-02-19
Form: 424B2
Chunk 24
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 Rate Period Interest Payment Date”);                                                                                     |

| in each case, provided that if any scheduled                                            
 Fixed-to-Floating Rate Notes Floating Rate Period Interest Payment Date, other than the |

S-11

| applicable Maturity Date, would fall on a day that is not a Business Day, such Fixed-to-Floating Rate Notes                                                                         
 Floating Rate Period Interest Payment Date will be postponed to the next succeeding Business Day, except that if that Business Day falls in the next succeeding calendar month, the 
 Fixed-to-Floating Rate Notes Floating Rate Period Interest Payment Date will be the immediately preceding Business Day.                                                             |

| Day Count | 30/360, Following, Unadjusted, for each respective Fixed Rate Period. |

| Actual/360, Modified Following, Adjusted, for each respective Fixed-to-Floating Rate Notes Floating Rate Period. |

Terms Specific to the Floating Rate Notes:

| Optional Redemption | We may, at our option, redeem the 20    floating rate notes then outstanding, in whole but not in part, on the 20    Floating Rate Notes Par Redemption Date (as defined below), pursuant to the 
 20    Floating Rate Notes Par Redemption (as defined below).                                                                                                                                     |

| We may, at our option, redeem the 20    floating rate notes then outstanding, in whole but not in part, on the 20    Floating Rate Notes Par Redemption Date (as defined 
 below), pursuant to the 20    Floating Rate Notes Par Redemption (as defined below).                                                                                     |

| The definitions and the terms of the 20    Floating Rate Notes Par Redemption and the 20    Floating Rate Notes Par Redemption are set forth below under                                  
 “Description of Senior Notes—Optional Redemption.” Any redemption of floating rate notes pursuant to the 20    Floating Rate Notes Par Redemption or the 20    Floating Rate Notes        
 Par Redemption will also be subject to the provisions described under “Description of Senior Notes—Notice of Redemption” and “Description of Senior Notes—Condition to Redemption” below. |

| Par Redemption Date | , 20     and     , 20