Barclays Announces the Redemption of Six iPath® ETNs
For more information regarding the issuer redemption, including how the redemption value is determined, please see the prospectus relating to each affected series of ETNs under the headings Specific Terms of the ETNsPayment Upon Holder Redemption and Issuer Redemption and Specific Terms of the ETNsEarly Redemption ProceduresIssuer Redemption Procedures.
- For more information regarding the issuer redemption, including how the redemption value is determined, please see the prospectus relating to each affected series of ETNs under the headings Specific Terms of the ETNsPayment Upon Holder Redemption and Issuer Redemption and Specific Terms of the ETNsEarly Redemption ProceduresIssuer Redemption Procedures.
- Holders of ETNs subject to issuer redemption may choose to continue to hold their ETNs until the Redemption Date or choose to sell/redeem their ETNs at a suitable time prior to that.
- Barclays Bank is the issuer of the ETNs and Barclays Capital Inc. is the issuers agent in the distribution.
- iPath, iPath ETNs and the iPath logo are registered trademarks of Barclays Bank PLC.