NOTICE OF ADJUSTMENT

ÁÐÎÊÅÐÊÐÅÄÈÒÑÅÐÂÈÑ ÑÒÐÀÊ×ÝÐÄ ÏÐÎÄÀÊÒÑ ÏèÝëÑè
16.07.2024 16:53


1.1. Ïîëíîå ôèðìåííîå íàèìåíîâàíèå ýìèòåíòà: ÁðîêåðÊðåäèòÑåðâèñ Ñòðàê÷ýðä Ïðîäàêòñ ÏèÝëÑè (BrokerCreditService Structured Products Plc);

1.2. Ñîêðàùåííîå ôèðìåííîå íàèìåíîâàíèå ýìèòåíòà: ÁðîêåðÊðåäèòÑåðâèñ Ñòðàê÷ýðä Ïðîäàêòñ ÏèÝëÑè (BrokerCreditService Structured Products Plc);

1.3. Ìåñòî íàõîæäåíèÿ Ýìèòåíòà: Àãèàñ Ôèëàêñåîñ, 182, ÁÈÇÍÅÑ-ÖÅÍÒÐ ÊÎÔÒÅÐÎÑ, îôèñ 203, 3083, Ëèìàññîë, Ðåñïóáëèêà Êèïð;

1.4 Íàëîãîâûé èäåíòèôèêàòîð ýìèòåíòà â ñòðàíå ðåãèñòðàöèè: 12158664Z

1.5. Ðåãèñòðàöèîííûé íîìåð ýìèòåíòà â ñòðàíå ðåãèñòðàöèè: 158664

1.6. Àäðåñà ñòðàíèöû â ñåòè Èíòåðíåò, èñïîëüçóåìîé äëÿ ðàñêðûòèÿ èíôîðìàöèè: http://www.e-disclosure.ru/portal/company.aspx?id=35220;

1.7. Äàòà íàñòóïëåíèÿ îñíîâàíèÿ äëÿ ðàñêðûòèÿ ñîîáùåíèÿ: 16.07.2024

2.1. Ñîîáùåíèÿ è äîêóìåíòû, ðàñêðûòûå â ñîîòâåòñòâèè ñ èíîñòðàííûì ïðàâîì è/èëè ïðàâèëàìè èíîñòðàííîé ôîíäîâîé áèðæè, íà êîòîðîé öåííûå áóìàãè ïðîøëè ïðîöåäóðó ëèñòèíãà:

Èíôîðìàöèÿ, ñîäåðæàùàÿñÿ â íàñòîÿùåì ñîîáùåíèè, ïðåäíàçíà÷åíà äëÿ êâàëèôèöèðîâàííûõ èíâåñòîðîâ

Office 203, Kofteros Business Center, 182, Agias Fylaxeos, 3083, Limassol

Phone: +357 257 74044, E-mail: info@bcs-sp.com, www.bcs-sp.com

NOTICE OF ADJUSTMENT

Issue of Series 76 USD 1,000,000 Share Linked Notes (Autocall Standard Notes with Snowball Digital Coupon) due December 2024, XS2093226178

Issued by BrokerCreditService Structured Products plc (the “Issuer”)

under the EUR 10,000,000,000 Euro Medium Term Note Programme

(the "Notes")

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 dated 13.12.2019 (the "Final Terms").

The Issuer hereby notifies Noteholders that at the General Meeting of Shareholders of VTB Bank PJSC (VTBR RX Equity) approved a 5000-for-1 split of the Company’s common stock https://www.vtb.ru/about/press/news/?id=202596.

This will also effect a proportionate decrease in the number of shares of authorized common stock.

In accordance with the Additional Conditions for Share Linked Notes, the Calculation Agent hereby determines that the following corresponding adjustment shall be made:

All valuations post July 15th, 2024 (inclusive) in respect of VTB Bank PJSC. (VTBR RX Equity) – ISIN: RU000A0JP5V6 shall be divided by 5000 for purposes of all calculations made on and following July 15th, 2024.

The Strike Price Closing Value and all valuations that were made prior to July 15th, 2024 shall remain unchanged.

The Effective Date of the adjustments shall be July 15th, 2024

BrokerCreditService Structured Products plc

Date: July 16th, 2024

3. Ïîäïèñü

3.1. Äèðåêòîð

(íàèìåíîâàíèå äîëæíîñòè óïîëíîìî÷åííîãî ëèöà ýìèòåíòà)

Àë¸íà Èîàííó

(ïîäïèñü) (È.Î. Ôàìèëèÿ)

3.2. Äàòà 16.07.2024