Documentation: The Issuer has filed a registration statement with the SEC for the offering, a Preliminary Prospectus Supplement dated 07-Jul-26 and a Prospectus dated 11-May-26
Optional Redemption: Tax Call Event Only
Use of Proceeds: General Corporate Purposes
Governing Law: New York
Listing (expected): Euronext Dublin (GEM)
Denominations: €100,000 x €1,000
ISIN / Common Code: XS3435704575 / 343570457
Clearing: Euroclear / Clearstream, Luxembourg
Sole Global Coordinator: Jefferies (B&D)
Joint Active Book-Runners: Citigroup, Jefferies, Natixis, Santander, SMBC, Societe Generale
Stabilization: Relevant stabilization regulations, including FCA/ICMA stabilization, apply
Target Market / EEA PRIIPs / UK CCI: MiFID II and UK MiFIR professionals/ECPs-only. No EEA PRIIPs KID or UK CCI product summary as not available to retail in the EEA or UK