All capitalised terms used in this notice and not defined herein shall have the meanings and constructions ascribed to them in the terms and conditions of the Notes (the "Conditions") and in the Final Terms in respect of the Notes dated August 3rd, 2020 (the "Final Terms").

The Issuer hereby notifies Noteholders that pursuant to the occurrence of an Automatic Early Redemption Event on the Automatic Early Redemption Valuation Date falling on November 5th, 2020, the Notes will be redeemed in whole on the Automatic Early Redemption Date at a price of 125% with accrued coupon in the amount of USD 150,000 in respect of the total amount of outstanding Notes falling on November 12th, 2020. The Notes will be redeemed at an amount equal to the Automatic Early Redemption Amount as follows:

USD 1,562.50 in respect of each Note

USD 6,250,000.00 in respect of the total amount of outstanding Notes. 

BrokerCreditService Structured Products plc

Date: November 6th, 2020