Monthly ORB Dedicated Liquidity Report - September Corporate Bonds

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1 Monthly ORB Dedicated Liquidity Report - September 2017 Corporate Bonds 1. Total value traded on ORB dedicated issues was million through 3,498 trades, an increase of 29.46% compared to August Total value traded on ORB corporate bonds was million through 4,110 trades, an increase of 27.09% compared to August Top 15 ORB-dedicated bonds by value traded for the month of September 2017 ISIN TIDM Company Name Coupon Rate (%) Maturity Date Maturity Band Total Trades Total Value (in ) XS DSCF RETAIL CHARITY BONDS PLC /07/2026 Mediums (7-15 yrs) ,047,179 XS NG1Q NATIONAL GRID PLC /10/2021 Shorts (18 mths-7 yrs) 107 8,156,116 XS IC55 NEX GROUP PLC /07/2018 Ultra short (under 18 mths) 76 8,089,791 XS PF17 PROVIDENT FINANCIAL PLC 7 04/10/2017 Ultra short (under 18 mths) 61 8,082,211 XS BE01 BEAZLEY IRELAND HOLDINGS PLC /09/2019 Shorts (18 mths-7 yrs) 103 7,607,691 XS PF21 PROVIDENT FINANCIAL PLC 6 27/09/2021 Shorts (18 mths-7 yrs) 202 4,826,589 XS BUR3 BURFORD CAPITAL PLC 5 01/12/2026 Mediums (7-15 yrs) 103 4,701,588 XS ENQ1 ENQUEST PLC 7 15/04/2022 Shorts (18 mths-7 yrs) 99 4,228,663 XS LSE1 LONDON STOCK EXCHANGE GROUP PLC /11/2021 Shorts (18 mths-7 yrs) 120 3,782,843 XS WS PROVIDENT FINANCIAL PLC /10/2023 Shorts (18 mths-7 yrs) 128 3,278,476 XS TSC5 TESCO PERSONAL FINANCE PLC 5 21/11/2020 Shorts (18 mths-7 yrs) 129 2,811,177 XS A2D2 A2D FUNDING II PLC /09/2026 Mediums (7-15 yrs) 30 2,782,486 XS LAD2 LADBROKES GROUP FINANCE PLC /09/2022 Shorts (18 mths-7 yrs) 101 2,591,225 XS PMO1 PREMIER OIL PLC /12/2021 Shorts (18 mths-7 yrs) 187 2,501,096 XS A2D1 A2D FUNDING PLC /10/2022 Shorts (18 mths-7 yrs) 66 2,280,184

2 On-book ORB Dedicated bonds Trading Highlights: 1. Total value traded On-Book for the month was 1.44 million across 68 trades, a decrease of 33.87% compared to August PROVIDENT FINANCIAL PLC (XS ) retail bond was the most heavily traded on-book security with a turnover of k.

3 Off-book ORB Dedicated bonds Trading Highlights: 1. Total value traded Off-Book for the month was million across 3,430 trades, an increase of 30.25% compared to August PROVIDENT FINANCIAL PLC (XS ) retail bond was the most heavily traded off-book security with a turnover of million.

4 ORB Dedicated Corporate Bonds: Summary trading statistics of ORB Dedicated corporate bonds: On book Off book Total Month Trades Value (in ) Trades Value (in ) Trades Value (in ) Sep ,443,792 3, ,857,293 3, ,301,085 ORB Corporate Bonds Trading: 1. There have been 57 dedicated ORB issues raising 5.9 billion since its launch in There are 93 Corporate bonds available to trade on the Order Book for Retail Bonds. 3. There are 5 market maker firms providing two way prices on ORB Corporate bonds.

5 ORB GILTS Summary trading statistics of ORB - GILTS: On book Off book Total Month Trades Value (in ) Trades Value (in ) Trades Value (in ) Sep , ,014,872,096 68, ,014,872,097 ORB Gilt Trading: 1. ORB has a dedicated GILTS segment which provides on-book access to UK Government bonds. 2. As with all segments on ORB, there are market makers providing two-way prices (submitted as executable quotes). 3. There are 71 GILTS available to trade on the Order Book for Retail Bonds. 4. ORB GILTS are tradable in denominations as small as There are 3 market maker firms providing two way prices on ORB GILTS.

6 List of ORB Dedicated bonds as of September 2017 ISIN TIDM Issuer Name Coupon (%) Maturity Date Maturity band Trades Value (in ) XS DSCF RETAIL CHARITY BONDS PLC /07/2026 Mediums (7-15 yrs) ,047,179.2 XS NG1Q NATIONAL GRID PLC /10/2021 Shorts (18 mths-7 yrs) 107 8,156, XS IC55 NEX GROUP PLC /07/2018 Ultra short (under 18 mths) 76 8,089, XS PF17 PROVIDENT FINANCIAL PLC 7 04/10/2017 Ultra short (under 18 mths) 61 8,082,211.2 XS BE01 BEAZLEY IRELAND HOLDINGS PLC /09/2019 Shorts (18 mths-7 yrs) 103 7,607, XS PF21 PROVIDENT FINANCIAL PLC 6 27/09/2021 Shorts (18 mths-7 yrs) 202 4,826, XS BUR3 BURFORD CAPITAL PLC 5 01/12/2026 Mediums (7-15 yrs) 103 4,701, XS ENQ1 ENQUEST PLC 7 15/04/2022 Shorts (18 mths-7 yrs) 99 4,228, XS LSE1 LONDON STOCK EXCHANGE GROUP PLC /11/2021 Shorts (18 mths-7 yrs) 120 3,782, XS WS PROVIDENT FINANCIAL PLC /10/2023 Shorts (18 mths-7 yrs) 128 3,278,476 XS TSC5 TESCO PERSONAL FINANCE PLC 5 21/11/2020 Shorts (18 mths-7 yrs) 129 2,811, XS A2D2 A2D FUNDING II PLC /09/2026 Mediums (7-15 yrs) 30 2,782, XS LAD2 LADBROKES GROUP FINANCE PLC /09/2022 Shorts (18 mths-7 yrs) 101 2,591, XS PMO1 PREMIER OIL PLC /12/2021 Shorts (18 mths-7 yrs) 187 2,501, XS A2D1 A2D FUNDING PLC /10/2022 Shorts (18 mths-7 yrs) 66 2,280, XS IPF1 INTERNATIONAL PERSONAL FINANCE PLC /05/2020 Shorts (18 mths-7 yrs) 103 2,245, XS ICG3 INTERMEDIATE CAPITAL GROUP PLC 5 24/03/2023 Shorts (18 mths-7 yrs) 86 2,164, XS SMP1 ST.MODWEN PROPERTIES PLC /11/2019 Shorts (18 mths-7 yrs) 74 1,956, XS UTG1 UNITE GROUP PLC /06/2020 Shorts (18 mths-7 yrs) 71 1,897, XS TPR1 TP ICAP PLC /06/2019 Shorts (18 mths-7 yrs) 76 1,788, XS BUR2 BURFORD CAPITAL PLC /10/2024 Mediums (7-15 yrs) 94 1,759, XS TS1L TESCO PERSONAL FINANCE PLC 1 16/12/2019 Shorts (18 mths-7 yrs) 55 1,726, XS ICG2 INTERMEDIATE CAPITAL GROUP PLC /09/2020 Shorts (18 mths-7 yrs) 72 1,585, XS PFG7 PROVIDENT FINANCIAL PLC 7 14/04/2020 Shorts (18 mths-7 yrs) 172 1,554, XS TS52 TESCO PERSONAL FINANCE PLC /08/2018 Ultra short (under 18 mths) 67 1,461, XS BUR1 BURFORD CAPITAL PLC /08/2022 Shorts (18 mths-7 yrs) 67 1,407, XS GSHT RETAIL CHARITY BONDS PLC /03/2026 Mediums (7-15 yrs) 58 1,388, XS HB20 HELICAL PLC 6 24/06/2020 Shorts (18 mths-7 yrs) 104 1,188, XS PHP1 PRIMARY HEALTH PROPERTIES PLC /07/2019 Shorts (18 mths-7 yrs) 69 1,094, XS ALP2 ALPHA PLUS HOLDINGS PLC 5 31/03/2024 Shorts (18 mths-7 yrs) 44 1,072, XS PFP2 PLACES FOR PEOPLE FINANCE PLC /12/2023 Shorts (18 mths-7 yrs) , XS CLS1 CLS HOLDINGS PLC /12/2019 Shorts (18 mths-7 yrs) , XS ALP1 ALPHA PLUS HOLDINGS PLC /12/2019 Shorts (18 mths-7 yrs) , XS ERO1 EROS INTERNATIONAL PLC /10/2021 Shorts (18 mths-7 yrs) , XS PAG2 PARAGON GROUP OF COMPANIES PLC /01/2022 Shorts (18 mths-7 yrs) , XS BRU1 BRUNTWOOD INVESTMENTS PLC 6 24/07/2020 Shorts (18 mths-7 yrs) , XS PAG3 PARAGON GROUP OF COMPANIES PLC 6 28/08/2024 Shorts (18 mths-7 yrs) , XS SVTL SEVERN TRENT PLC /07/2022 Shorts (18 mths-7 yrs) , XS WKP1 WORKSPACE GROUP PLC 6 09/10/2019 Shorts (18 mths-7 yrs) , XS LIV1 LENDINVEST SECURED INCOME PLC /08/2022 Shorts (18 mths-7 yrs) , XS PAG1 PARAGON BANKING GROUP PLC 6 05/12/2020 Shorts (18 mths-7 yrs) , XS ICG7 INTERMEDIATE CAPITAL GROUP PLC 7 21/12/2018 Ultra short (under 18 mths) ,476.2 XS PAG1 PARAGON GROUP OF COMPANIES PLC 6 05/12/2020 Shorts (18 mths-7 yrs) , XS WAS1 WASPS FINANCE PLC /05/2022 Shorts (18 mths-7 yrs) , XS HTOP RETAIL CHARITY BONDS PLC /04/2025 Mediums (7-15 yrs) , GB00B3N3WC23 RB51 ROYAL BANK OF SCOTLAND PLC /02/2020 Shorts (18 mths-7 yrs) , XS PAG2 PARAGON BANKING GROUP PLC /01/2022 Shorts (18 mths-7 yrs) ,344.64

7 ISIN TIDM Issuer Name Coupon (%) Maturity Date Maturity band Trades Value (in ) XS PAG3 PARAGON BANKING GROUP PLC 6 28/08/2024 Shorts (18 mths-7 yrs) , XS PFP1 PLACES FOR PEOPLE CAPITAL MARKETS P 1 31/01/2022 Shorts (18 mths-7 yrs) , XS CAF1 RETAIL CHARITY BONDS PLC 5 12/04/2026 Mediums (7-15 yrs) 7 73, XS MCAP RETAIL CHARITY BONDS PLC /07/2021 Shorts (18 mths-7 yrs) 3 19,405.08

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