UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, DC 20549 -------------------------------------------------------------------------------- FORM 6-K REPORT OF FOREIGN PRIVATE ISSUER PURSUANT TO RULE 13A-16 OR 15D-16 UNDER THE SECURITIES EXCHANGE ACT OF 1934 February, 2007 Barclays PLC and Barclays Bank PLC (Names of Registrants) 1 Churchill Place London E14 5HP England (Address of Principal Executive Offices) Indicate by check mark whether the registrant files or will file annual reports under cover of Form 20-F or Form 40-F. Form 20-F x Form 40-F Indicate by check mark whether the registrant by furnishing the information contained in this Form is also thereby furnishing the information to the Commission pursuant to Rule 12g3-2(b) under the Securities Exchange Act of 1934. Yes No x If "Yes" is marked, indicate below the file number assigned to the registrant in connection with Rule 12g3-2(b): -------------------------------------------------------------------------------- This Report is a joint Report on Form 6-K filed by Barclays PLC and Barclays Bank PLC. All of the issued ordinary share capital of Barclays Bank PLC is owned by Barclays PLC. This Report comprises: Information given to The London Stock Exchange and furnished pursuant to General Instruction B to the General Instructions to Form 6-K. -------------------------------------------------------------------------------- EXHIBIT INDEX 1. Director/PDMR Shareholding dated 9 January 2007 2. Base Rate Change dated 11 January 2007 3. Partial Repurchase dated 12 January 2007 4. Partial Repurchase dated 17 January 2007 5. Partial Repurchase dated 18 January 2007 6. Total Voting Rights dated 19 January 2007 7. Partial Repurchase dated 22 January 2007 8. Partial Repurchase dated 24 January 2007 9. ERR dated 24 January 2007 10. Notice dated 25 January 2007 -------------------------------------------------------------------------------- SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934, each of the registrants has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized. BARCLAYS PLC (Registrant) Date: February 1, 2007 By: /s/ Patrick Gonsalves ---------------------- Patrick Gonsalves Deputy Secretary BARCLAYS BANK PLC (Registrant) Date: February 1, 2007 By: /s/ Patrick Gonsalves ---------------------- Patrick Gonsalves Joint Secretary Exhibit 1. 9 January 2007 Director/PDMR shareholding: Disclosure Rules 3.1.4R(1)(a) and 3.1.4R(1)(b) The trustee of the Barclays Group Sharepurchase Plan ("the Plan"), an HM Revenue and Customs approved all-employee share plan, informed the Company on 8 January 2007 that it had on 8 January 2007 purchased, and now held as bare trustee of the Plan, the following ordinary shares in the capital of Barclays PLC for the following directors/Persons Discharging Managerial Responsibility (PDMRs) at a price of 762.00p per share: Director/PDMR Number of Shares Mr G A Hoffman 16 Mr J S Varley 16 Mr L C Dickinson 14 The Plan now includes Matching Shares provided by the Company on a 1:1 basis up to the first GBP600 per annum invested by the participant under the Plan. The number of shares purchased on 8 January 2007 for each director/PDMR above includes the Matching Shares. The revised total shareholding for each director following these transactions is as follows: Director Beneficial Holding Non Beneficial Holding Mr G A Hoffman 319,202 - Mr J S Varley 375,069 - In addition to these transactions, the trustees of all the Barclays Group employees' benefit trusts hold a total of 165,645,889 ordinary shares in Barclays PLC. The executive directors of Barclays PLC are amongst the potential beneficiaries under these trusts and are therefore regarded for Companies Act purposes as being interested in the Barclays PLC ordinary shares held in them. Exhibit 2. 11 January 2007 BARCLAYS BANK INCREASING BASE RATE Barclays Bank is increasing its base rate by 0.25 per cent to 5.25 per cent with effect from today, 11 January 2007. Exhibit 3. Barclays Bank PLC Barclays Bank Series S049 ISIN XS0249213520- Maturity date 23 Mar 07 - GBP 5,272,000 Please be advised that the following issue has been repurchased for GBP 28,000 on 04 Jan 2007. The outstanding balance will therefore be GBP 5,244,000. Please amend your records accordingly. Exhibit 4. Barclays Bank PLC Barclays Bank Series S065 ISIN XS0254088452 - Maturity Date 14 May 07 - GBP 3,459,000 Please be advised that the above issue has been repurchased for GBP 14,000 on 09 Jan 2007. The outstanding balance will therefore be GBP 3,445,000 Please amend your records accordingly. Exhibit 5 BARCLAYS BANK PLC Barclays Bank Series 7325 ISIN XS0271073206 - Maturity Date 30 Oct 08 - USD 14,500,000 Please be advised the following issue has been repurchased for USD 200,000 on 17 Jan 07. The outstanding balance will therefore be USD 14,300,000 Please amend your records accordingly. Exhibit 6 19 January 2007 Barclays PLC - Voting Rights and Capital In conformity with the Transparency Directive's transitional provision 6, Barclays PLC's issued share capital consists of 6,535,642,885 ordinary shares with voting rights and 875,000 staff shares with voting rights as at 15 January 2007. There are no ordinary shares held in Treasury. Therefore, the total number of voting rights in Barclays PLC is 6,536,517,885. The above figure (6,536,517,885) may be used by shareholders as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in, Barclays PLC under the FSA's Disclosure and Transparency Rules. Exhibit 7. Barclays Bank PLC Barclays Bank Series S049 ISIN XS0249213520 - Maturity Date 23 Mar 07 - GBP 5,244,000 Please be advised the following issue has been repurchased for GBP 49,000 on 12 Jan 07 The outstanding balance will therefore be GBP 5,195,000 Exhibit 8 Barclays Bank PLC Barclays Bank PLC Series 6560 ISIN XS0258069136 Maturity Date 16 Jul 2007 - DKK 100,000,000 Please be advised that the following issue has been repurchased for DKK 500,000 on 19 Jan 07. The outstanding balance will therefore be DKK 99,500,000 Please amend your records accordingly. Exhibit 9 Barclays Bank PLC Barclays Bank PLC Series 5814 ISIN XS0246270986 Maturity Date 18 Sep 2007 - EUR 389,231,000 Please be advised that the following issue has been repurchased for EUR 10,000 on 19 Jan 2007. The outstanding balance will therefore be EUR 389,221,000 Please amend your records accordingly. Exhibit 10 THIS NOTICE IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION Barclays Bank PLC (Incorporated with limited liability in England and Wales) (the "Issuer") Series 2006 -AQ USD 30,000,000 Principal Protected CDO Coupon Linked Notes due 2021 pursuant to a USD 5,000,000,000 Credit Linked Note Programme (the "Notes") NOTICE NOTICE IS HEREBY GIVEN that the Issuer has made the following changes to the Prospectus dated 28 March 2006 relating to the Notes. Terms used in this announcement shall have the same meanings as terms used in the Prospectus unless otherwise defined. Amendments to the Supplement (set out at Schedule 1 to the Prospectus) 1. Paragraph 11(vii) has been amended by: (a) inserting the following paragraph after sub-paragraph (ii) (Additional Amounts) as a new sub-paragraph (iii) (Reference Tranche Payment Amounts): "Reference Tranche Payment Amounts (iii) In addition, on the Reference Tranche Payment Date, the Issuer shall pay in respect of each Note an amount equal to the Relevant Proportion of the Reference Tranche Payment Amount in respect of each Note to Noteholders."; (b) re-numbering sub-paragraph (iii) as sub-paragraph (iv); (c) deleting the semicolon at the end of the definition of "Base Interest Amount" and substituting "." therefor; (d) deleting the semicolon at the end of the definition of "Credit Linked Factor" and substituting "." therefor; (e) inserting the following definitions after the definition of "Loss Amount": ""Reference Tranche Determination Date" means the day falling two Business Days prior to the Reference Tranche Payment Date. "Reference Tranche Loss Amount" means an amount equal to the difference between the Principal Amount and the outstanding notional amount of the Reference Tranche Swap Transaction as of Reference Tranche Determination Date. "Reference Tranche Payment Amount" means an amount equal to (i) the Principal Amount less (ii) the Reference Tranche Loss Amount less (iii) Swap Costs, as determined by the Calculation Agent in its sole discretion as of the Reference Tranche Determination Date. "Reference Tranche Payment Date" means (A) where the Issuer exercises its right to redeem the Notes pursuant to paragraph 35 (Optional Redemption), the Scheduled Maturity Date; and (B) in all other cases, 20 December 2016; provided that, in all cases, the Reference Tranche Payment Date may be postponed to a date necessary to settle all potential and outstanding Credit Events under the Reference Tranche Swap Transaction, as determined by the Calculation Agent. "Reference Tranche Swap Transaction" means a hypothetical tranched portfolio credit derivative transaction entered into between the Issuer and a hypothetical counterparty under which the Issuer sells credit protection but receives no credit protection premium payments, with an effective date of 21 September 2006, a scheduled termination date of 20 December 2016, an initial notional amount equal to Principal Amount, an attachment point equal to 0.0% and an exhaustion (detachment) point equal to 3.0%, which references the portfolio of reference entities comprising Series 7 (Version 1) of the Dow Jones CDX.NA.IG index."; and (f) deleting the word "three" and substituting "two" therefor in the first line of the sub-paragraph after the definition of "Residual Swap Costs"; 2. Paragraph 24(ix) has been amended by deleting the number "3" and substituting "2" therefor in the last line of the paragraph after sub-paragraph (b). 3. Paragraph 31 has been amended by deleting the paragraph in its entirety and substituting the following therefor: "The Notes have been admitted to the official list of the Irish Stock Exchange and to trading on its regulated market. No assurance can be given that such admission will be maintained.". 4. Paragraph 33 has been amended by deleting the paragraph in its entirety and substituting the following therefor: "As of 3 March 2006, Fitch Inc ("Fitch") has assigned a rating of AA+ in respect of timely and full payment of 100% of the Principal Amount of the Notes on the Final Maturity Date where the Notes are not subject to redemption in accordance with paragraph 35 (Optional Redemption). In addition, where the Issuer exercises its right to redeem the Notes in accordance with paragraph 35 (Optional Redemption), as of 3 March 2006, Fitch has assigned a rating of AA+ in respect of timely and full payment of 76.5% of the Principal Amount of the Notes on the Scheduled Maturity Date (21 March 2016), or the Deferred Maturity Date where an Extension Notice is effective. These ratings are in respect of principal only and do not address the likelihood of receiving interest. A credit rating is not a recommendation to buy, sell or hold a security and may be subject to revision or withdrawal at any time by the assigning rating agency. There can be no assurance that Fitch will continue to monitor their rating of the Notes during the life of the Notes or that such rating may not be downgraded or withdrawn.". Amendments to Schedule I (CSO Portfolio Annex) to the Supplement 5. Schedule I has been amended by deleting the CSO Portfolio Annex in its entirety and substituting therefor the amended and restated CSO Portfolio Annex as set out in the Appendix hereto. Amendments to Schedule IV (Amendments to the 2003 ISDA Credit Derivatives Definitions and the Conditions) to the Supplement 6. Section 1 (Additional Definitions) of Schedule IV has been amended by: (a) deleting the definition of "CSO Loss Amount" in its entirety and substituting the following therefor: ""CSO Loss Amount" means in respect of a CSO on any day, the lesser of: (1) the CSO Maximum Loss Amount; and (2) the excess of: (i) the sum of: (a) with respect to all Reference Entities in such CSO as to which an Event Determination Date has occurred on or prior to such day, but the related Cash Settlement Date has not occurred on or prior to such day, the aggregate of the Reference Entity Notional Amounts for such Reference Entities plus (b) with respect to all Reference Entities in such CSO the Cash Settlement Date for which has occurred on or prior to such day, the aggregate of the Cash Settlement Amounts for such Reference Entities plus (c) with respect to all Reference Entities in such CSO which have been specified in an Extension Notice that is effective on or prior to such day, the aggregate of the Reference Entity Notional Amounts for such Reference Entities minus (d) if such day occurs after the Extension Date, with respect to all Reference Entities specified in an Extension Notice but with respect to which an Event Determination Date did not occur on or prior to the Extension Date, the aggregate of the Reference Entity Notional Amounts for such Reference Entities, over (ii) the CSO Subordination Amount PROVIDED THAT, in the case of CSO 2 only, the CSO Loss Amount of such CSO shall be expressed as a negative number for the purposes of determining the Aggregate CSO Loss Amount and in all cases as the same may be adjusted from time to time in accordance with the Noteholder Adjustment Option."; and (b) inserting a new definition after the definition of "CSO Loss Amount" as follows: ""CSO Maximum Loss Amount" means, in respect of a CSO, the CSO Reference Portfolio Notional Amount multiplied by the CSO Detachment Point for such CSO.". 7. Section 3(C) (Noteholder Adjustment Option) of Schedule IV has been amended by: (a) deleting the words "sum of the" in the eighth line thereof; (b) deleting the word "Amounts" and substituting "Amount" therefor in the ninth line thereof; and (c) deleting the words "and CSO 2" in the ninth line thereof. 8. The following disclaimers have been inserted after Schedule IV: "Dow Jones(R) and CDXTM are service marks of Dow Jones & Company, Inc. and CDS Indexco LLC (the "Index Sponsor"), respectively, and have been licensed for use by Barclays Bank PLC. The Index referenced herein is the property of the Index Sponsor. Each party acknowledges and agrees that the transaction hereunder is not sponsored, endorsed or promoted by Dow Jones & Company, Inc. ("Dow Jones"), the Index Sponsor or any members of the Index Sponsor (Dow Jones, the Index Sponsor, together with its members, the "Index Parties"). The Index Parties make no representation whatsoever, whether express or implied, and hereby expressly disclaim all warranties (including, without limitation, those of merchantability or fitness for a particular purpose or use), with respect to the Index or any data included therein or relating thereto, and in particular disclaim any warranty either as to the quality, accuracy and/or completeness of the Index or any data included therein, the results obtained from the use of the Index, the composition of the Index at any particular time on any particular date or otherwise, and/or the creditworthiness of, or likelihood of the occurrence of a Credit Event with respect to, any entity in the Index at any particular time on any particular date or otherwise. The Index Parties shall not be liable (whether in negligence or otherwise) to the parties or any other person for any error in the Index, and the Index Parties are under no obligation to advise the parties or any person of any error therein. The Index Parties make no representation whatsoever, whether express or implied, as to the advisability of entering into the transaction hereunder, the ability of the Index to track relevant markets' performances, or otherwise relating to the Index or any transaction or product with respect thereto, or of assuming any risks in connection therewith. The Index Parties have no obligation to take the needs of any party into consideration in determining, composing or calculating the Index. Neither party to this transaction, nor any Index Party, shall have any liability to any party for any act or failure to act by the Index Parties in connection with the determination, adjustment, calculation or maintenance of the Index. Although the Calculation Agent will obtain information concerning the Index from sources it believes reliable, it will not independently verify this information. Accordingly, no representation, warranty or undertaking (express or implied) is made, and no responsibility is accepted by either party, its Affiliates or the Calculation Agent, as to the accuracy, completeness or timeliness of information concerning the Index. Each party (including the Noteholder) acknowledges that the other party (including the Issuer) or one of its Affiliates may be, or may be affiliated with, an Index Party and, as such, may be able to affect or influence the determination, adjustment or maintenance of the Index. For purposes of Sections 9.1(b)(iii) and (iv) of the Credit Derivatives Definitions, references to "each party" therein shall be deemed to include each Index Party.". 9. Notwithstanding the date of this notice, the amendments were deemed to take effect from 7 November 2006. This Notice is given by the Issuer. Dated: 25th January 2007 Contact Person: Joanna Urbanska JP Morgan Bank (Ireland) Plc Tel No: +353 1 542 6976 APPENDIX AMENDED AND RESTATED CSO PORTFOLIO ANNEX Date of last amendment: as of 7 November 2006 CSO 1* CSO 2* (Asian) (CDX4) CSO 0.00% 0.00% Attachment Point: CSO 30.00% 100.00% Detachment Point: Individual USD USD CSO Notional 750,000,000 150,000,000 Amount: Number of 50 125 Reference Entities per CSO: No. Reference Entity Specified Transaction Industry Country Date In Bid Date Out Offer Reference Type Spread Spread Obligation Description Senior or (if any) (if (ISIN / Subordinated any) CUSIP) (Blank means Senior) 1 AIFUL CORPORATION JP310504B356 Japanese 1 Financial Japan 16-May-06 91 Corporate intermediaries 2 BANGKOK BANK USY0606WBQ25 Subordinated Asian 1 Banking Thailand PUBLIC BANK Corporate COMPANY 3 CATHAY FINANCIAL XS0148186421 Asian 1 Banking Taiwan HOLDING COMPANY Corporate LIMITED 4 CHARTERED US16133RAC07 Singapore 1 Electronics Singapore SEMICONDUCTOR Corporate MANUFACTURING LIMITED 5 CITIC PACIFIC USG2154WAA02 Asian 1 Diversified/ Hong Kong LIMITED Corporate Conglomerate Manufacturing 6 FREEPORT-MCMORAN US35671DAG07 Asian 1 Nonferrous metals Indonesia 16-May-06 125 COPPER & GOLD INC. Corporate / minerals 7 FUBON FINANCIAL XS0174661354 Asian 1 Banking Taiwan HOLDING COMPANY Corporate LIMITED 8 GENTING BERHAD XS0200561180 Asian 1 Hotels, Motels, Malaysia Corporate Inns and Gaming 9 GLOBE TELECOM, USY27257AC12 Asian 1 Telecommunications Philippines 16-May-06 150 INC. Corporate 10 GS CALTEX USY5275KAP04 Asian 1 Oil and Gas S Korea CORPORATION Corporate 11 HONGKONG LAND US43858PAA57 Asian 1 Buildings and Real Hong Kong HOLDINGS LIMITED Corporate Estate 12 HUTCHISON WHAMPOA USG4672CAB12 Asian 1 Diversified/ Hong Kong LIMITED Corporate Conglomerate Service 13 HYSAN DEVELOPMENT XS0142270759 Asian 1 Buildings and Real Hong Kong COMPANY LIMITED Corporate Estate 14 HYUNDAI MOTOR USU45439AA15 Asian 1 Automobile S Korea COMPANY Corporate 15 ICICI BANK LIMITED XS0178885876 Asian 1 Banking India Corporate 16 IOI CORPORATION XS0212370869 Asian 1 Farming and Malaysia BERHAD Corporate Agriculture 17 ISLAMIC REPUBLIC XS0186560602 Asian 1 Sovereign Pakistan 16-May-06 210 OF PAKISTAN Sovereign 18 JARDINE STRATEGIC USG50757AA42 Asian 1 Diversified/ Hong Kong HOLDINGS LIMITED Corporate Conglomerate Service 19 KINGDOM OF US88322KAC53 Asian 1 Governmental Thailand THAILAND Sovereign Agencies/ Sovereigns 20 MALAYAN BANKING XS0148980344 Subordinated Asian 1 Banking Malaysia BERHAD Corporate 21 MARUBENI JP387760B519 Japan 1 Conglomerates Japan 16-May-06 60 CORPORATION Corporate 22 NATIONAL POWER US637193BB85 Asian 1 Utilities Philippines 07-Nov-06 215 CORPORATION Corporate 23 NIPPON SHEET GLASS XS0191286284 Japanese 1 Building & Japan 16-May-06 65 COMPANY, LIMITED Corporate Development 24 NOBLE GROUP LMITED USG6542TAB73 Asian 1 Surface Transport Hong Kong 16-May-06 250 Corporate 25 NTPC LIMITED XS0187395933 Asian 1 Utilities India 07-Nov-06 71 Corporate 26 OKI ELECTRIC XS0204124530 Japanese 1 Electronics/ Japan 16-May-06 70 INDUSTRY COMPANY, Corporate electrical LIMITED 27 PCCW-HKT TELEPHONE USG6955FAA96 Asian 1 Telecommunications Hong Kong LIMITED Corporate 28 PHILIPPINE LONG US71825PAD06 Asian 1 Telecommunications Philippines 16-May-06 165 DISTANCE TELPHONE Corporate COMPANY 29 PT BANK NEGARA XS0158156553 Subordinated Emerging 1 Financial Indonesia 07-Nov-06 150 INDONESIA Market intermediaries (PERSERO) TBK Corporate 30 PT BANK RAKYAT XS0176862323 Asian 1 Financial Indonesia 16-May-06 150 INDONESIA Corporate intermediaries 31 PT INDOSAT TBK USN44507AA44 Asian 1 Telecommunications Indonesia Corporate 32 PTT PUBLIC COMPANY US69367CAA36 Asian 1 Oil and Gas Thailand LIMITED Corporate 33 RELIANCE US759470AC16 Asian 1 Chemicals, India INDUSTRIES LIMITED Corporate Plastics and Rubber 34 REPUBLIC OF USY20721AA74 Asian 1 Governmental Indonesia INDONESIA Sovereign Agencies/ Sovereigns 35 REPUBLIC OF THE US718286AP29 Asian 1 Governmental Philippines PHILIPPINES Sovereign Agencies/ Sovereigns 36 SHINHAN BANK XS0176216611 Subordinated Asian 1 Banking S Korea Corporate 37 SINO-FOREST USC83912AA02 Asian 1 Farming and China 13-Sep-06 295 CORPORATION Corporate Agriculture 38 SK CORPORATION XS0130288268 Asian 1 Oil and Gas S Korea Corporate 39 SOCIALIST REPUBLIC XS0085134905 Asian 1 Sovereign Vietnam 16-May-06 130 OF VIETNAM Sovereign 40 SOFTBANK CORP. JP343610B593 Japanese 1 Business equipment Japan 16-May-06 350 Corporate & services 41 STATE BANK OF XS0207576397 Asian 1 Governmental India INDIA Corporate Agencies/ Sovereigns 42 TAKEFUJI USJ81335AH45 Japanese 1 Financial Japan 16-May-06 65 CORPORATION Corporate intermediaries 43 TATA MOTORS USY8548TAF85 Asian 1 Automobile India LIMITED Corporate 44 TATA POWER COMPANY XS0212687809 Asian 1 Utilities India Corporate 45 TENAGA NASIONAL USY85859AJ80 Asian 1 Utilities Malaysia BERHAD Corporate 46 THAI OIL PUBLIC XS0221448557 Asian 1 Oil and Gas Thailand COMPANY LIMITED Corporate 47 THE AROMATICS XS0225169068 Asian 1 Chemicals & Thailand 16-May-06 95 (THAILAND) PUBLIC Corporate Plastics COMPANY LMITED 48 THE WHARF US962258AB56 Asian 1 Buildings and Real Hong Kong (HOLDINGS) LIMITED Corporate Estate 49 VEDANTA RESOURCES XS0206424672 Asian 1 Diversified India PLC Corporate Natural Resources, Precious Metals & Minerals 50 WAN HAI LINES XS0223450445 Asian 1 Cargo Transport Taiwan LIMITED Corporate 51 ACE LIMITED US00440EAC12 North 1 Insurance Bermuda American IG 52 AETNA INC US00817YAB48 North 1 Insurance United American IG States 53 ALBERTSON'S US013104AJ31 North 1 Grocery United INCORPORATED American IG States 54 ALCAN INC US013716AR64 North 1 Mining, Steel, Canada American IG Iron and Non Precious Metals 55 ALCOA INCORPORATED 013817AD3 North 1 Mining, Steel, United American IG Iron and Non States Precious Metals 56 ALLTEL CORPORATION US020039DB64 North 1 Telecommunications United American IG States 57 ALTRIA GROUP INC US02209SAA15 North 1 Beverage, Food and United American IG Tobacco States 58 AMERICAN AXLE & US02406PAE07 North 1 Automobile United MANUFACTURING American IG States INCORPORATED 59 AMERICAN ELECTRIC 025537AD3 North 1 Utilities United POWER COMPANY INC American IG States 60 AMERICAN EXPRESS US025816AQ27 North 1 Banking United COMPANY American IG States 61 AMERICAN 026874AP2 North 1 Insurance United INTERNATIONAL American IG States GROUP INC 62 AMGEN INC 031162AE0 North 1 Healthcare, United American IG Education and States Childcare 63 ANADARKO PETROLEUM US032511AT44 North 1 Oil and Gas United CORPORATION American IG States 64 ARROW ELECTRONICS US042735AL41 North 1 Electronics United INC American IG States 65 AUTOZONE INC US053332AC61 North 1 Retail Stores United American IG States 66 BAXTER US071813AM10 North 1 Healthcare, United INTERNATIONAL INC American IG Education and States Childcare 67 BELLSOUTH US079860AB83 North 1 Telecommunications United CORPORATION American IG States 68 BOEING CAPITAL US097014AG93 North 1 Aerospace and United CORPORATION American IG Defense States 69 BRISTOL-MYERS US110122AG36 North 1 Healthcare, United SQUIBB COMPANY American IG Education and States INCORPORATED Childcare 70 BURLINGTON US12189TAT16 North 1 Cargo Transport United NORTHERN SANTA FE American IG States CORPORATION 71 CAMPBELL SOUP 134429AS8 North 1 Beverage, Food and United COMPANY American IG Tobacco States 72 CAPITAL ONE BANK US14040EHK10 North 1 Banking United American IG States 73 CARDINAL HEALTH US14149YAF51 North 1 Healthcare, United INC American IG Education and States Childcare 74 CARNIVAL US143658AH53 North 1 Leisure, United CORPORATION American IG Amusement, States Entertainment 75 CATERPILLAR US149123BH31 North 1 Machinery United INCORPORATED American IG (Non-Agriculture, States Non-Construction, Non-Electronic) 76 CENDANT US151313AP87 North 1 Diversified/ United CORPORATION American IG Conglomerate States Service 77 CENTEX CORPORATION US152312AG95 North 1 Buildings and Real United American IG Estate States 78 CENTURYTEL US156700AG13 North 1 Telecommunications United INCORPORATED American IG States 79 CIGNA CORPORATION US125509BG36 North 1 Insurance United American IG States 80 CINGULAR WIRELESS US17248RAF38 North 1 Telecommunications United LLC American IG States 81 CIT GROUP US125581AB41 North 1 Banking United INCORPORATED American IG States 82 CLEAR CHANNEL US184502AK84 North 1 Broadcasting & United COMMUNICATIONS INC American IG Entertainment States 83 COMCAST CABLE US20029PAL31 North 1 Broadcasting & United COMMUNICATIONS LLC American IG Entertainment States 84 COMPUTER SCIENCES US205363AE42 North 1 Electronics United CORPORATION American IG States 85 CONAGRA FOODS INC 205887BA9 North 1 Beverage, Food and United American IG Tobacco States 86 CONOCOPHILLIPS 20825CAE4 North 1 Oil and Gas United American IG States 87 CONSTELLATION US210371AH31 North 1 Utilities United ENERGY GROUP INC American IG States 88 COUNTRYWIDE HOME 22237LMY5 North 1 Banking United LOANS INCORPORATED American IG States 89 COX COMMUNICATIONS US224044AY38 North 1 Broadcasting & United INCORPORATED American IG Entertainment States 90 CSX CORPORATION US126408AP85 North 1 Cargo Transport United American IG States 91 CVS CORPORATION US126650AV25 North 1 Retail Stores United American IG States 92 DEERE & COMPANY 244199BB0 North 1 Farming and United American IG Agriculture States 93 DEVON ENERGY US251799AA02 North 1 Oil and Gas United CORPORATION American IG States 94 DOMINION RESOURCES 25746UAJ8 North 1 Utilities United INC American IG States 95 DUKE ENERGY US264399DW34 North 1 Utilities United CORPORATION American IG States 96 EASTMAN CHEMICAL US277432AE06 North 1 Chemicals, United COMPANY American IG Plastics and States Rubber 97 EASTMAN KODAK US277461BD00 North 1 Chemicals, United COMPANY American IG Plastics and States Rubber 98 EI DUPONT DE US263534BN84 North 1 Chemicals, United NEMOURS & COMPANY American IG Plastics and States Rubber 99 EOP OPERATING LP US268766BU59 North 1 Buildings and Real United American IG Estate States 100 FEDERAL HOME LOAN US3134A4HF43 North 1 Governmental United MORTGAGE American IG Agencies/ States CORPORATION Sovereigns 101 FEDERAL NATIONAL 31359MPF4 North 1 Governmental United MORTGAGE American IG Agencies/ States ASSOCIATION Sovereigns 102 FEDERATED US31410HAS04 North 1 Retail Stores United DEPARTMENT STORES American IG States INC 103 FIRSTENERGY US337932AB30 North 1 Utilities United CORPORATION American IG States 104 FORD MOTOR CREDIT US345397TZ65 North 1 Banking United COMPANY American IG States 105 GENERAL ELECTRIC US36962GYY42 North 1 Banking United CAPITAL American IG States CORPORATION 106 GENERAL MILLS US370334AS36 North 1 Beverage, Food and United INCORPORATED American IG Tobacco States 107 GENERAL MOTORS US370425SE16 North 1 Banking United ACCEPTANCE American IG States CORPORATION 108 GOODRICH US382388AP13 North 1 Aerospace and United CORPORATION American IG Defense States 109 HALLIBURTON US406216AR24 North 1 Oil and Gas United COMPANY American IG States 110 HARRAH'S OPERATING US413627AN01 North 1 Hotels, Motels, United COMPANY INC American IG Inns and Gaming States 111 HEWLETT-PACKARD US428236AG84 North 1 Electronics United COMPANY American IG States 112 HILTON HOTELS US432848AX77 North 1 Hotels, Motels, United CORPORATION American IG Inns and Gaming States 113 HONEYWELL 438516AK2 North 1 Machinery United INTERNATIONAL INC American IG (Non-Agriculture, States Non-Construction, Non-Electronic) 114 INGERSOLL-RAND US456866AG74 North 1 Machinery United COMPANY American IG (Non-Agriculture, States Non-Construction, Non-Electronic) 115 INTERNATIONAL 459200BA8 North 1 Electronics United BUSINESS MACHINES American IG States CORPORATION 116 INTERNATIONAL US459745EZ45 North 1 Finance United LEASE FINANCE American IG States CORPORATION 117 INTERNATIONAL US460146BN29 North 1 Printing and United PAPER COMPANY American IG Publishing States 118 JONES APPAREL 480081AG3 North 1 Textiles and United GROUP INC American IG Leather States 119 KERR-MCGEE US492386AS68 North 1 Oil and Gas United CORPORATION American IG States 120 KRAFT FOODS INC US50075NAB01 North 1 Beverage, Food and United American IG Tobacco States 121 LEAR CORPORATION US521865AE52 North 1 Automobile United American IG States 122 LENNAR CORPORATION US526057AG99 North 1 Buildings and Real United American IG Estate States 123 LIBERTY MEDIA 530718AC9 North 1 Broadcasting & United CORPORATION American IG Entertainment States 124 LOCKHEED MARTIN US539830AL32 North 1 Aerospace and United CORPORATION American IG Defense States 125 LOEWS CORPORATION US540424AE80 North 1 Insurance United American IG States 126 MARRIOTT US571900AQ27 North 1 Hotels, Motels, United INTERNATIONAL INC American IG Inns and Gaming States 127 MAYTAG CORPORATION US57859HBU77 North 1 Home and Office United American IG Furnishings, States Housewares, and Durable Consumer Products 128 MBIA INSURANCE North 1 Insurance United CORPORATION American States Monoline 129 MBNA CORPORATION US55263ECE32 North 1 Banking United American IG States 130 MCDONALD'S US58013MDM38 North 1 Personal, Food and United CORPORATION American IG Miscellaneous States 131 MCKESSON US58155QAA13 North 1 Healthcare, United CORPORATION American IG Education and States Childcare 132 MEADWESTVACO US583334AA59 North 1 Printing and United CORPORATION American IG Publishing States 133 METLIFE US59156RAC25 North 1 Insurance United INCORPORATED American IG States 134 MOTOROLA US620076AR03 North 1 Electronics United INCORPORATED American IG States 135 NATIONAL RURAL US637432CU74 North 1 Utilities United UTILITIES American IG States COOPERATIVE FINANCE CORPORATION 136 NEWELL RUBBERMAID US651229AB28 North 1 Home and Office United INCORPORATED American IG Furnishings, States Housewares, and Durable Consumer Products 137 NEWS AMERICA INC US652482AM25 North 1 Broadcasting & United American IG Entertainment States 138 NORDSTROM INC US655664AG59 North 1 Retail Stores United American IG States 139 NORFOLK SOUTHERN 655844AE8 North 1 Cargo Transport United CORPORATION American IG States 140 NORTHROP GRUMMAN US666807AT91 North 1 Aerospace and United CORPORATION American IG Defense States 141 OMNICOM GROUP INC 681919AM8 North 1 Broadcasting & United American IG Entertainment States 142 PROGRESS ENERGY 743263AD7 North 1 Utilities United INC American IG States 143 PULTE HOMES INC US745867AL56 North 1 Buildings and Real United American IG Estate States 144 RAYTHEON COMPANY US755111BH39 North 1 Aerospace and United INC American IG Defense States 145 ROHM & HAAS US775371AR80 North 1 Chemicals, United COMPANY American IG Plastics and States Rubber 146 SAFEWAY US786514BF54 North 1 Grocery United INCORPORATED American IG States 147 SBC COMMUNICATIONS US78387GAK94 North 1 Telecommunications United INC. American IG States 148 SEARS ROEBUCK US812404BG50 North 1 Retail Stores United ACCEPTANCE American IG States CORPORATION 149 SEMPRA ENERGY US816851AF69 North 1 Utilities United American IG States 150 SIMON PROPERTY US828807AQ09 North 1 Buildings and Real United GROUP LP American IG Estate States 151 SOUTHWEST AIRLINES US844741AV08 North 1 Personal United COMPANY American IG Transportation States 152 SPRINT CORPORATION US852060AS17 North 1 Telecommunications United American IG States 153 SUPERVALU INC US868536AR44 North 1 Grocery United American IG States 154 TARGET CORPORATION US87612EAH99 North 1 Retail Stores United American IG States 155 TEXTRON FINANCIAL US883199AQ42 North 1 Aerospace and United CORPORATION American IG Defense States 156 THE ALLSTATE US020002AK77 North 1 Insurance United CORPORATION American IG States 157 THE CHUBB US171232AF85 North 1 Insurance United CORPORATION American IG States 158 THE DOW CHEMICAL US260543BR36 North 1 Chemicals, United COMPANY American IG Plastics and States Rubber 159 THE HARTFORD US416515AE42 North 1 Insurance United FINANCIAL SERVICES American IG States GROUP INCORPORATED 160 THE KROGER COMPANY US501044CE98 North 1 Grocery United American IG States 161 THE WALT DISNEY US25468PBX33 North 1 Broadcasting & United COMPANY American IG Entertainment States 162 TIME WARNER INC 00184AAF2 North 1 Broadcasting & United American IG Entertainment States 163 TRANSOCEAN INC US893830AE99 North 1 Oil and Gas United American IG States 164 TYSON FOODS INC US902494AM53 North 1 Beverage, Food and United American IG Tobacco States 165 UNION PACIFIC 907818CN6 North 1 Cargo Transport United CORPORATION American IG States 166 VALERO ENERGY US91913YAD22 North 1 Oil and Gas United CORPORATION American IG States 167 VERIZON GLOBAL US92344GAL05 North 1 Telecommunications United FUNDING American IG States CORPORATION 168 VIACOM INC. US925524AJ95 North 1 Broadcasting & United American IG Entertainment States 169 WAL-MART STORES US931142BE24 North 1 Retail Stores United INC American IG States 170 WASHINGTON MUTUAL US939322AL70 North 1 Banking United INCORPORATED American IG States 171 WELLS FARGO & US94974BAZ31 North 1 Banking United COMPANY American IG States 172 WEYERHAEUSER US962166BP84 North 1 Containers, United COMPANY American IG Packaging and States Glass 173 WHIRLPOOL US963320AK24 North 1 Home and Office United CORPORATION American IG Furnishings, States Housewares, and Durable Consumer Products 174 WYETH US983024AA80 North 1 Healthcare, United American IG Education and States Childcare 175 XL CAPITAL LIMITED US98372PAF53 North 1 Insurance Bermuda American IG 176 DBS BANK LIMITED USY20337AJ30 Subordinated Singapore Banking Singapore 16-May-06 36 Corporate 177 KOOKMIN BANK XS0159385870 Asian Banking S Korea 16-May-06 38 Corporate 178 KOREA DEPOSIT XS0139879711 Asian Governmental S Korea 16-May-06 33 INSURANCE Corporate Agencies/ CORPORATION Sovereigns 179 KOREA DEVELOPMENT US500630BG24 Asian Governmental S Korea 16-May-06 34 BANK Corporate Agencies/ Sovereigns 180 KOREA ELECTRIC USY48406BA27 Asian Utilities S Korea 16-May-06 38 POWER CORPORATION Corporate 181 KT CORPORATION US48268FAA03 Asian Telecommunications S Korea 07-Nov-06 35.5 Corporate 182 MALAYSIA US560904AF11 Asian Governmental Malaysia 16-May-06 40 Sovereigns 183 MALAYSIA USY60808AB18 Asian Cargo Transport Malaysia 16-May-06 44 INTERNATIONAL Corporate SHIPPING CORPORATION BERHAD 184 MTR CORPORATION XS0184198157 Asian Personal Hong Kong 16-May-06 21 LIMITED Corporate Transportation 185 PETROLIAM NASIONAL USY68856AA47 Asian Oil and Gas Malaysia 16-May-06 38 BERHAD Corporate 186 POSCO US730450AD51 Asian Mining, Steel, S Korea 07-Nov-06 37 Corporate Iron and Non Precious Metals 187 REPUBLIC OF KOREA US50064FAC86 Asian Governmental S Korea 16-May-06 33 Sovereign Agencies/ Sovereigns 188 ROAD KING XS0194987607 Asian Building & Hong Kong 16-May-06 100 13-Sep-06 225 INFRASTRUCTURE Corporate Development LIMITED 189 SAMSUNG US796050AE22 Asian Electronics S Korea 16-May-06 33 ELECTRONICS Corporate COMPANY LIMITED 190 SINGAPORE USY79985AC46 Singapore Telecommunications Singapore 16-May-06 30 TELECOMMUNICATIONS Corporate LIMITED 191 SWIRE PACIFIC USY83310AB11 Asian Diversified/ Hong Kong 16-May-06 45 LIMITED Corporate Conglomerate Service 192 TELEKOM MALAYSIA XS0200959384 Asian Telecommunications Malaysia 07-Nov-06 37.5 BERHAD Corporate 193 UNITED OVERSEAS USY9244WAW92 Subordinated Singapore Banking Singapore 16-May-06 40 BANK LIMITED Corporate "1" indicates that such Reference Entity is a member of such CSO 1. 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