AGREEMENT ENTERED INTO THIS 16 FEBRUARY, OF 2018, AMONG:Issuer Agreement • February 15th, 2018
Contract Type FiledFebruary 15th, 2018This agreement sets forth the understanding of the parties with respect to securities to be issued, as applicable, in (i) bearer New Global Note form (the "NGN Securities") or (ii) registered form under the New Safekeeping Structure (the "NSS Securities") under the above-captioned programme (the "Securities") that the Issuer may request be made eligible for settlement with Euroclear Bank SA/NV and Clearstream Banking SA (the "ICSDs"). In order to allow the ICSDs to accept the Securities as eligible for settlement with the ICSDs and to properly service the Securities, the Issuer hereby represents and warrants to the ICSDs that in all matters relating to the Securities it will, and it will require any agent appointed by it to, comply with the requirements for the Securities set out herein.