Other Terms and Conditions. (a) Deferred Sale Price : The Deferred Sale Price shall be an amount equal to: in the case of Sukuk Murabahah without

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1 Other Terms and Conditions (a) Deferred Sale Price : The Deferred Sale Price shall be an amount equal to: (i) in the case of Sukuk Murabahah with Periodic Profit Payments and issued at par The Purchase Price plus the Profit Margin (as defined below) (ii) in the case of Sukuk Murabahah without discount The Purchase Price plus the Discounted Amount (iii) in the case of Sukuk Murabahah with discount The Purchase Price plus the Discounted Amount and the Profit Margin (iv) in the case of Sukuk Murabahah with premium The Purchase Price minus the Premium Amount (as defined below) plus the Profit Margin Discounted Amount means the difference between the nominal value of the Sukuk Murabahah and the Purchase Price in the case of Sukuk Murabahah issued at a discount. Premium Amount means the difference between the Purchase Price and the nominal value of the Sukuk Murabahah in the case of Sukuk Murabahah issued at a premium. Profit Margin shall be the aggregate of all the Periodic Profit Payments calculated based on a profit rate (in the case of Sukuk Murabahah with fixed profit rate), or a one-time ceiling rate (in the case of Sukuk Murabahah

2 (b) Details on Utilisation of Proceeds by Issuer with floating profit rate), to be determined prior to each issuance of Sukuk Murabahah. : The Issuer shall utilise the proceeds from the IMTN Programme for purposes of financing the capital expenditure, working capital requirements, other general funding requirements and/or general corporate purposes of the Issuer and/or its subsidiaries. All of the above purposes shall be Shariahcompliant. (c) Identified Assets : Commodities shall mean Shariah-compliant commodities, which shall include but not limited to crude palm oil and/or such other acceptable commodities (excluding ribawi items in the category of medium of exchange such as currency, gold and silver) which are provided through the commodity trading platform, Bursa Suq Al-Sila, and/or other independent commodity trading platform(s) acceptable by the Shariah Adviser. (d) Purchase and selling price/rental (e) Profit/coupon/rental rate (fixed or floating) : The Purchase Price shall be determined prior to each issuance of the Sukuk Murabahah under the IMTN Programme and shall be an amount equivalent to the Sukuk Murabahah proceeds in respect of each issuance of the Sukuk Murabahah. The Purchase Price of the Commodities shall be in line with the Asset Pricing Requirements. : To be determined prior to each issuance of the Sukuk Murabahah with Periodic Profit Payments, if any, based on either a fixed or floating rate. (f) (g) Profit / coupon / rental payment frequency Profit / coupon / rental payment basis Not applicable for Sukuk Murabahah without Periodic Profit Payments. : For Sukuk Murabahah with Periodic Profit Payments, payable on a semi-annual basis or such other frequency to be determined prior to each issuance of the Sukuk Murabahah. : Actual / 365 days.

3 (h) Listing status and types of listing, where applicable : The Sukuk Murabahah will not be listed on Bursa Malaysia or any other stock exchanges. (i) Transaction Documents : Including but not limited to the following: (i) Trust Deed; (ii) Programme Agreement; (iii) the Securities Lodgement Form; and (iv) the relevant Islamic documents. (j) Redemption at Maturity : Unless previously redeemed or purchased and cancelled, the Sukuk Murabahah shall be redeemed by the Issuer at 100% of their nominal value on their respective maturity date(s). (k) Trustees Reimbursement Account : The Issuer shall open and maintain a Shariahcompliant account designated as Sukuk Trustees Reimbursement Account for Sukukholders Actions ( Sukuk Trustees Reimbursement Account ). The Sukuk Trustees Reimbursement Account shall be operated solely by the Sukuk Trustee and the monies shall only be used strictly by the Sukuk Trustee in carrying out its duties in relation to the occurrence of an Event of Default or enforcement events which are provided in the Trust Deed. (l) Status : The Sukuk Murabahah shall constitute direct, unconditional, unsubordinated and unsecured obligations of the Issuer and shall at all times rank pari passu, without any discrimination, preference or priority amongst themselves and pari passu with all other present and future unsecured and unsubordinated obligations of the Issuer, subject to those preferred by law and the Transaction Documents. (m) Taxation : All payments by the Issuer shall be made subject to withholding or deductions for or on account of any present or future tax, duty or charge of whatsoever nature imposed or levied by or on behalf of Malaysia, or any other applicable jurisdictions, or any authority thereof or therein having power to tax if such withholding or deduction is required by law.

4 For the avoidance of doubt, in the event the Issuer is required by law to withhold or deduct, the Issuer is not required to pay such additional amount (i.e. additional amount which the payee would have otherwise received if no such withholding or deductions are made) to the payee. (n) Form and Denomination : The Sukuk Murabahah shall be issued in accordance with: (a) the Participation and Operation Rules for Payments and Securities Services issued by MyClear ( MyClear Rules ); and (b) the Operational Procedures for Securities Services issued by MyClear ( MyClear Procedures ), (collectively MyClear Rules and Procedures ). Each issuance of Sukuk Murabahah shall be represented by a Global Certificate to be deposited with BNM, and is exchanged for a definitive bearer form only in certain limited circumstances. The denomination of the Sukuk Murabahah shall be RM1,000, or in multiples of RM1,000, for each issuance of Sukuk Murabahah. (o) Issue Price : The Sukuk Murabahah shall be issued at par, at a discount or at a premium to nominal value. The issue price shall be calculated in accordance with the MyClear Rules and Procedures. (p) Jurisdiction : The Issuer shall unconditionally and irrevocably submit to the exclusive jurisdiction of the courts of Malaysia. (q) Other Conditions : The Sukuk Murabahah shall at all times be governed by the guidelines issued and to be issued from time to time by SC, BNM and MyClear having jurisdiction over matters pertaining to the Sukuk Murabahah.

5 (r) Disclosure of the following: If the Issuer or its board members have been convicted or charged with any offence under any securities laws, corporation laws or other laws involving fraud or dishonesty in a court of law, or if any action has been initiated against the Issuer or its board members for breaches of the same, for the past ten years prior to the lodgement/ since incorporation (for issuer incorporated less than ten years); and No. If the Issuer has been subjected to any action by the stock exchange for any breach of the listing requirements or rules issued by the stock exchange, for the past five years prior to the lodgement. Not applicable.

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