Form of Instruments: Reg S / Bearer / TEFRA D / New Global Note
Currency / Size: €500m ("No Grow")
Settlement: 20-May-26 (T+5)
Maturity: 20-May-31 (5 years)
Coupon: Fixed (annual, act/act)
Denominations: €100k + €100k
IPTs: MS + 120 - 125 bps
Documentation: Eurobond issued under the €5bn EMTN Base Prospectus dated 30-Apr-26 and supplemented on 12-May-26
Selling Restrictions: EEA (including France, Italy, Spain, Switzerland), UK, Japan, Singapore and the United States. Regulation S (Category 2), TEFRA D
Put/Call options: Change of Control / 3m Par Call / Make Whole Call / Clean-up Call (75%)
Use of Proceeds: General Corporate Purposes and refinancing of upcoming debt maturities
Joint Global Coordinators: BBVA (B&D), HSBC, Société Générale, UniCredit
Joint Bookrunners: BNP Paribas, CaixaBank, Citi, Crédit Agricole CIB, Goldman Sachs Bank Europe SE
Advertisement: The Base Prospectus and the Supplements are available on the website of the Luxemburg Stock Exchange (https://www.luxse.com/issuer/AmadeusITGroup/72846). The relevant Final Terms when available, will be also published on the website of the Luxemburg Stock Exchange
Target Market: MiFID II / UK MiFIR – Eligible Counterparties and Professional clients only (all distribution channels). No PRIIPs or UK PRIIPs key information document (KID) has been prepared as not available to retail in EEA or in the UK
Governing Law: English Law, except the provisions relating to the status of the notes which are governed by Spanish Law
Clearing: Euroclear / Clearstream
ISIN: XS3382738600
Stabilization: Relevant stabilization regulations including FCA/ICMA apply