Coupon: [•] per cent. per annum (Fixed Rate, Annual, ACT/ACT ICMA, Short First Coupon)
Settlement: 09-Apr-26 (T+4)
Maturity: 06-Oct-32 (6.5Y)
Guidance: MS + 31bps area
Denomination: €100k + €1k increments thereafter
Listing: SGX-ST
Law: The Notes will be governed by, and construed in accordance with, English Law
Documentation: The Offering Circular dated 09-Sep-25 relating to the Issuer's US$10bn Euro Medium Term Note Programme (“Offering Circular”) and any amendment or supplement thereto including the Preliminary Pricing Supplement dated 31-Mar-26 (the “Preliminary Pricing Supplement”)