NOTICE TO HOLDERS OF GBP 2,000,000 Equity Linked Notes due May 2026 (THE “SECURITIES”) ISSUED PURSUANT TO THE GLOBAL STRUCTURED SECURITIES PROGRAMME OFFERING CIRCULAR DATED 19 August 2020 (THE “OFFERING CIRCULAR”) (ISIN CODE: XS2170330554/ COMMON CODE: 217033055)
This notice to holders of the Securities relates to the amended and restated pricing supplement dated 10 September 2021 (the “Amended and Restated Pricing Supplement”), replacing the original pricing supplement dated 26 May 2021 (the “Original Pricing Supplement”).
Pursuant to Condition 21.1 of the Base Conditions, the following provision has been amended in the Amended and Restated Pricing Supplement to cure a technical drafting errors.
1. The Schedule:
a. The Interest Payment Date 5 November 2025 is updated to 25 November 2025.