AGENCY AGREEMENT DATED 21 JUNE 2024 CRÉDIT INDUSTRIEL ET COMMERCIALas Issuer BNP PARIBAS, LUXEMBOURG BRANCHas Agent andBANQUE DE LUXEMBOURGas Calculation Agent €15,000,000,000 STRUCTURED EURO MEDIUM TERM NOTE PROGRAMMEAgency Agreement • June 10th, 2024 • England
Contract Type FiledJune 10th, 2024 JurisdictionAny Notes issued under the Programme on or after the date hereof (other than (i) any such Notes issued so as to be consolidated and form a single Series with any Notes issued prior to the date hereof or (ii) any such Notes expressed in the applicable Final Terms to be issued on the Conditions set forth in the Base Prospectus dated 21 June 2023 (the 2023 Notes)), shall be issued pursuant to this Agreement. This does not affect any Notes issued under the Programme prior to the date hereof, any Notes issued after the date hereof which are to be consolidated and form a single Series with any Notes issued prior to the date hereof or any 2023 Notes.