UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
FORM F-N
 
APPOINTMENT OF AGENT FOR SERVICE OF PROCESS
BY FOREIGN BANKS AND FOREIGN INSURANCE
COMPANIES AND CERTAIN OF THEIR HOLDING COMPANIES
AND FINANCE SUBSIDIARIES MAKING PUBLIC OFFERINGS
OF SECURITIES IN THE UNITED STATES
 
GENERAL INSTRUCTIONS
 
I.
Form F-N shall be filed with the Commission in connection with the filing of a registration statement under the Securities Act of 1933 by:
 
 
1.
a foreign issuer that is a foreign bank or foreign insurance company excepted from the definition of an investment company by rule 3a-6 [17 CFR 270.3a-6] under the Investment Company Act of 1940 (the “1940 Act”);
 
 
2.
a foreign issuer that is a finance subsidiary of a foreign bank or foreign insurance company, as those terms are defined in rule 3a-6 under the 1940 Act, if such finance subsidiary is excepted from the definition of investment company by rule 3a-5 [17 CFR 270.3a-5] under the 1940 Act; or
 
 
3.
a foreign issuer that is excepted from the definition of investment company by rule 3a-1 [17 CFR 270.3a-1] under the 1940 Act because some or all of its majority-owned subsidiaries are foreign banks or foreign insurance companies excepted from the definition of investment company by rule 3a-6 under the 1940 Act.
 
II.
Notwithstanding paragraph (I), the following foreign issuers are not required to file Form F-N:
 
 
1.
a foreign issuer that has filed Form F-X [17 CFR 239.42] under the Securities Act of 1933 with the Commission with respect to the securities being offered; and
 
 
2.
a foreign issuer filing a registration statement relating to debt securities or non-voting preferred stock that has on file with the Commission a currently accurate Form N-6C9 [17 CFR 274.304, rescinded] under the 1940 Act.
 
III.
Six copies of the Form F-N, one of which shall be manually signed, shall be filed with the Commission at its principal office.  A Form F-N filed in connection with any other Commission form should not be bound together with or be included only as an exhibit to, such other form.
 
 
A.
Name of issuer or person filing (“Filer”): Lloyds Banking Group plc                                                                      
 
 
B.
This is (select one):
 
x an original filing for the Filer
o an amended filing for the Filer
 
 
C.
Identify the filing in conjunction with which this Form is being filed
 
Name of registrant Lloyds Banking Group plc                                                    
 
Form type F-3ASR                                                                                                                                                         
 
File Number (if known) 333-189150                                                                                                                                         
 
Filed by Lloyds Banking Group plc                                                                     
 
Date Filed (if filed concurrently, so indicate)                    June 7, 2013                                                              
 
 
 
 

 
 
D.  
The Filer is incorporated or organized under the laws of (Name of the jurisdiction under whose laws the filer is organized or incorporated)
 
 
United Kingdom                                                                                                                                                                 
 
and has its principal place of business at (Address in full and telephone number)
Lloyds Banking Group plc, 25 Gresham Street, London EC2V 7HN, Tel: +44 (0)207 626 1500                              
 
E.  
The Filer designates and appoints (Name of United States person serving as agent) Kevin P. McKendry, Chief U.S. Counsel of Lloyds TSB Bank plc (“Agent”) located at 1095 Avenue of the Americas, New York, New York 10036, telephone: (212) 930 8920 as the agent of the Filer upon whom may be served any process, pleadings, subpoenas, or other papers in:
 
 
(a)
any investigation or administrative proceeding conducted by the Commission, and
 
 
(b)
any civil suit or action brought against the Filer or to which the Filer has been joined as defendant or respondent, in any appropriate court in any place subject to the jurisdiction of any state or of the United States or any of its territories or possessions or of the District of Columbia,
 
arising out of or based on any offering made or purported to be made in connection with the securities registered by the Filer on Form (Name of Form) F-3 filed on (Date) June 7, 2013 or any purchases or sales of any security in connection therewith.  The Filer stipulates and agrees that any such civil suit or action or administrative proceeding may be commenced by the service of process upon, and that service of an administrative subpoena shall be effected by service upon, such agent for service of process, and that the service as aforesaid shall be taken and held in all courts and administrative tribunals to be valid and binding as if personal service thereof had been made.
 
F.  
Each person filing this Form stipulates and agrees to appoint a successor agent for service of process and file an amended Form F-N if the Filer discharges the Agent or the Agent is unwilling or unable to accept service on behalf of the Filer at any time until six years have elapsed from the date of the Filer’s last registration statement or report, or amendment to any such registration statement or report, filed with the Commission under the Securities Act of 1933 or Securities Exchange Act of 1934.  Filer further undertakes to advise the Commission promptly of any change to the Agent’s name or address during the applicable period by amendment of this Form referencing the file number of the relevant registration form in conjunction with which the amendment is being filed.
 
G.  
Each person filing this form undertakes to make available, in person or by telephone, representatives to respond to inquiries made by the Commission staff, and to furnish promptly, when requested to do so by the Commission staff, information relating to the securities registered pursuant to the form referenced in paragraph E or transactions in said securities
 
The Filer certifies that it has duly caused this power of attorney, consent, stipulation and agreement to be signed on its behalf by the undersigned, thereunto duly authorized, in the
 
City of London                                                                   Country of United Kingdom                                 
 
this      7th                                                                          day of  June, 2013 A.D.                                         
 
Filer:  Lloyds Banking Group plc            
 
By:
 
/s/ Richard Shrimpton________________
Name: Richard Shrimpton
Title:  Group Capital Markets Issuance Director
 
This statement has been signed by the following persons in the capacities on the dates indicated.
 
Kevin P. McKendry
Title:           Authorized Agent for Service of Process in the United States
 
By:
 
/s/ Kevin P. McKendry_______________
Name: Kevin P. McKendry
Title:  Chief U.S. Counsel of Lloyds TSB Bank plc
 
         June 7, 2013