EIB Sukuk Company Ltd. U.S.$2,500,000,000 Trust Certificate Issuance Programme U.S.$500,000,000 Trust Certificates due 2017 (ISIN: XS )

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EIB Sukuk Company Ltd. U.S.$2,500,000,000 Trust Certificate Issuance Programme U.S.$500,000,000 Trust Certificates due 2017 (ISIN: XS0731642491) Application has been made to the Financial Services Authority (the "DFSA") for the U.S.$500,000,000 Trust Certificates due 2017 (ISIN: XS0731642491) (the "Trust Certificates") issued under EIB Sukuk Company Ltd.'s U.S.$2,500,000,000 (formerly U.S.$1,000,000,000) Trust Certificate Issuance Programme (the "Programme") to be admitted to the Official List of Securities maintained by the DFSA as Exempt Securities pursuant to Rule 2.4.1(i) of the Markets Rules of the DFSA Rulebook ( MKT ). Application has also been made to NASDAQ for the Trust Certificates to be admitted to trading on NASDAQ. A copy of the final terms dated 17 January 2012 with respect to the Trust Certificates is attached hereto. The key information relating to the issuer, the obligor and the guarantor under the programme is available in the updated base prospectus relating to the Programme dated 24 October 2012 as supplemented by a supplemental prospectus dated 7 November 2012 (together, the "Base Prospectus") which was approved by the DFSA under the DFSA's Markets Rule 2.7.1 on 12 September 2013. The Base Prospectus contains the relevant information which is required to be disclosed pursuant to Rule 2.5.2(1)(b) of MKT for admission of Exempt Securities to trading on NASDAQ. This summary document has been approved by the DFSA on, and is dated, 12 September 2013.

APPLICABLE FINAL TERMS 17 January 2012 EIB Sukuk Company Ltd. Issue of U.S.$500,000,000 Trust Certificates due 2017 under the U.S.$1,000,000,000 Trust Certificate Issuance Programme PART A CONTRACTUAL TERMS Terms used herein shall be deemed to be defined as such for the purposes of the Conditions set forth in the Base Prospectus dated 15 September 2011, as supplemented by the supplemental base prospectus dated 22 December 2011 (the Base Prospectus), which constitutes a base prospectus for the purposes of the Prospectus Directive (Directive 2003/71/EC) (the Prospectus Directive). This document constitutes the Final Terms of the Trust Certificates described herein for the purposes of Article 5.4 of the Prospectus Directive and must be read in conjunction with the Base Prospectus. Full information on the Issuer, Emirates Islamic Bank PJSC, Emirates NBD PJSC and the offer of the Trust Certificates is only available on the basis of a combination of these Final Terms and the Base Prospectus. The Base Prospectus is available for viewing at the registered office of the Issuer at c/o Deutsche Bank (Cayman) Limited, P.O. Box 1984, Boundary Hall, Cricket Square, George Town, Grand Cayman KY1-1104, Cayman Islands and the Principal Paying Agent at Winchester House, 1 Great Winchester Street, London EC2N 2DB and copies may be obtained from those offices. 1. Issuer and Trustee: EIB Sukuk Company Ltd. 2. (i) Obligor: (ii) Guarantor: Emirates Islamic Bank PJSC Emirates NBD PJSC 3. Series Number: 2 4. Specified Currency: U.S. dollars (U.S.$) 5. Aggregate Face Amount of Series: U.S.$500,000,000 6. Issue Price: 100 per cent. of the Aggregate Face Amount 7. Specified Denominations: U.S.$200,000 and integral multiples of U.S.$1,000 in excess thereof 8. (a) Issue Date: 18 January 2012 (b) Return Accrual Commencement Date: Issue Date 9. Maturity Date: 18 January 2017 10. Periodic Distribution Amount Basis: 4.718 per cent. Fixed Periodic Distribution Amount 0013035-0000735 DB:4621599.3 1

11. Dissolution Basis: Dissolution at par 12. Change of Periodic Distribution Basis: Not Applicable 13. Call/Put Options: Not Applicable 14. Status: Unsubordinated 15. Method of distribution: Syndicated PROVISIONS RELATING TO PERIODIC DISTRIBUTIONS PAYABLE 16. Fixed Periodic Distribution Provisions Applicable (a) Rate: 4.718 per cent. per annum payable semi-annually in arrear (b) Periodic Distribution Dates: 18 July and 18 January in each year up to and including the Maturity Date (c) Fixed Amount: U.S.$4,718 per Trust Certificate of U.S.$200,000 Specified Denomination (d) Broken Amount(s): Not Applicable (e) Day Count Fraction: 30/360 (f) Determination Date(s): Not Applicable (g) Other terms relating to the method of calculating Fixed Periodic Distributions: Not Applicable 17. Floating Periodic Distribution Provisions Not Applicable PROVISIONS RELATING TO DISSOLUTION 18. Optional Dissolution (Call): Not Applicable 19. Final Dissolution Amount: U.S.$200,000 per Trust Certificate of U.S.$200,000 Specified Denomination 20. Early Dissolution Amount (Tax): Final Dissolution Amount 21. Dissolution Amount pursuant to Condition 14: U.S.$200,000 per Trust Certificate of U.S.$200,000 Specified Denomination 0013035-0000735 DB:4621599.3 2

PROVISIONS RELATING TO OPTIONAL REDEMPTION 22. Optional Redemption (Investor Put): Not Applicable GENERAL PROVISIONS APPLICABLE TO THE TRUST CERTIFICATES 23. Form of Trust Certificates: Global Trust Certificate exchangeable for Trust Certificates in definitive registered form in the limited circumstances specified in the Global Trust Certificate 24. Additional Financial Centre(s): Not Applicable PROVISIONS IN RESPECT OF THE CO-OWNERSHIP ASSETS 25. Co-ownership Assets on the Issue Date: As scheduled to the Supplemental Purchase Contract dated 18 January 2012, a copy of which schedule is set out in the Annex hereto 26. Co-ownership interests in the Co- Ownership Assets: Issuer: Obligor: 99.533 per cent. 0.467 per cent. 27. Trust Assets: Condition 5.1 (Trust Assets) applies 28. Details of Transaction Account: EIB SUKUK COMPANY LTD SERIES 2 Account No: 0286922-0000-USD-001-CTA with Deutsche Bank AG, London Branch 29. Other Transaction Document Information: (a) Supplemental Trust Deed: Supplemental Trust Deed dated 18 January 2012 between the Issuer, the Trustee, the Obligor, the Guarantor and the Delegate (b) Supplemental Purchase Contract: Supplemental Purchase Contract dated 18 January 2012 between the Issuer, the Trustee and the Obligor (c) Late Payment Percentage: (For the purpose of Clause 3.4 of the Purchase Undertaking Deed) 1 per cent. per annum 30. Other final terms: Not Applicable DISTRIBUTION 31. (a) If syndicated, names of Managers: Joint Lead Managers: Citigroup Global Markets Limited Emirates NBD Capital Limited HSBC Bank plc National Bank of Abu Dhabi P.J.S.C. Standard Chartered Bank The Royal Bank of Scotland plc 0013035-0000735 DB:4621599.3 3

PART B OTHER INFORMATION 1. LISTING AND ADMISSION TO TRADING (i) Listing: London (ii) Admission to trading: Application has been made for the Trust Certificates to be admitted to trading on the London Stock Exchange's regulated market and listed on the Official List of the UK Listing Authority with effect from 18 January 2012 (iii) Estimate of total expenses related to admission to trading: GBP 3,650 2. RATINGS Ratings: The Trust Certificates to be issued have been rated: Moody s: Fitch: A3 (Neg) A+ (Stable) Moody's Investors Services Ltd. is established in the European Union and is registered under Regulation (EC) No. 1060/2009 (as amended). As such Moody's Investors Services Ltd. is included in the list of credit rating agencies published by the European Securities and Markets Authority on its website in accordance with such Regulation. Fitch Ratings Ltd is established in the European Union and is registered under Regulation (EC) No. 1060/2009 (as amended). As such Fitch Ratings Ltd is included in the list of credit rating agencies published by the European Securities and Markets Authority on its website in accordance with such Regulation. 3. INTERESTS OF NATURAL AND LEGAL PERSONS INVOLVED IN THE ISSUE Save for any fees payable to the Managers, so far as each of the Issuer, the Obligor and the Guarantor is aware, no person involved in the issue of the Trust Certificates has an interest material to the offer. 4. YIELD (Fixed Periodic Distribution Trust Certificates only) Indication of yield: 4.718 per cent. per annum The yield is calculated at the Issue Date on the basis of the Issue Price. It is not an indication of future yield. 0013035-0000735 DB:4621599.3 5

5. OPERATIONAL INFORMATION (i) ISIN Code: XS0731642491 (ii) Common Code: 073164249 (iii) Any clearing system(s) other than Euroclear Bank S.A./N.V. and Clearstream Banking, société anonyme and the relevant identification number(s) (iv) Delivery: (v) Names and addresses of additional Paying Agent(s) (if any): Not Applicable Delivery against payment Not Applicable 0013035-0000735 DB:4621599.3 6

Annex to the Final Terms Co-ownership Assets List of Co-ownership Assets in Respect of U.S.$500,000,000 Trust Certificates due 2017 No. 1. 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. 12. of Asset -based -based -based -based -based -based Asset based Sukuk Asset based sukuk Asset based sukuk Assetbased Sukuk Mudarabah Asset based sukuk Asset based Contract Infrastructure Infrastructure/real estate Infrastructure/real estate Working Capital Real Estate Real Estate Obligor's Reference Number X626035 C625962 K626019 L626060 J626114 P626061 X626022 X626094 N626209 W626030 R626051 Q625972 Contract type Properties in KSA plant and machineries of DEWA in UAE s to Department of Finance, UAE Mudarabah with DIFC, UAE Musharaka with JAFZ, UAE Lease Final Maturity Principal Amount Due Obligor Share (0.467%) Issuer Share (99.533%) 20/08/2016 15,215.08 71.08 15,144.00 30/04/2016 5,000.00 23.36 4,976.64 30/11/2016 3,000.00 14.02 2,985.98 09/03/2012 10,224.88 47.77 10,177.11 30/06/2013 113,083.31 528.30 112,555.01 15/07/2012 30,979.58 144.73 30,834.85 16/07/2012 15,000.00 70.08 14,929.92 16/08/2013 13,612.85 63.60 13,549.25 03/11/2014 15,000.00 70.08 14,929.92 13/06/2012 10,000.00 46.72 9,953.28 27/11/2012 26,681.19 124.65 26,556.54 21/07/2013 40,838.55 190.79 40,647.76 0013035-0000735 DB:4621599.3 7

No. of Asset Contract Obligor's Reference Number Contract type Final Maturity Principal Amount Due Obligor Share (0.467%) Issuer Share (99.533%) sukuk with Tamweel in UAE 13. R922185 Bu Kadra plot, 31/12/2027 13,388.79 62.55 13,326.24 14. S922194 Al Mamzar plot, 31/12/2027 9,297.14 43.43 9,253.71 15. W922145 City Plaza Building plot, 31/12/2027 7,623.20 35.61 7,587.59 Al Khan, Sharjah 16. K922181 Rocky Building plot, 31/12/2027 9,529.00 44.52 9,484.48 Al Nahda, 17. N922182 Jawaher Building plot, 31/12/2027 8,984.48 41.97 8,942.51 Al Nahda 2, 18. G922195 Al Zahra Building plot, 31/12/2027 16,335.42 76.32 16,259.10 Al Nabaa, Sharjah 19. J922211 Mankhoul Building plot, 31/12/2027 9,529.00 44.52 9,484.48 Mankhoul, 20. U922208 Discovery Garden 31/12/2027 10,887.56 50.86 10,836.70 Building plot, 21. G922210 Al Mamzar I Building plot, 31/12/2027 34,304.38 160.26 34,144.12 Al Mamzar, 22. GH922210 Al Mamzar II Building plot, Al Mamzar, 31/12/2027 32,943.10 153.90 32,789.20 23. FD922209 RAK 31/12/2027 17,696.71 82.67 17,614.04 0013035-0000735 DB:4621599.3 8

No. 24. 25. 26. 27. 28. 29. 30. of Asset Total (AED) Contract Obligor's Reference Number Q922255 B591910 Q694250 R522121 K207515 A130119 M631119 Contract type Tower Building plot, Defan Al Nakheel, Ras Al Khaima FUJ Tower Building plot Meraishid, Fujairah Building/Villa plot in Building/Villa plot in Building plot in Building plot in Sharjah Building plot in Building plot in Final Maturity Principal Amount Due Obligor Share (0.467%) Issuer Share (99.533%) 31/12/2027 7,623.20 35.61 7,587.59 01/06/2031 3,838.82 17.93 3,820.89 09/10/2027 6,615.85 30.91 6,584.94 21/03/2029 3,372.86 15.76 3,357.10 24/02/2030 4,786.93 22.36 4,764.57 04/08/2028 4,268.99 19.94 4,249.05 25/11/2028 2,685.98 12.55 2,673.43 Total (USD) 502,346.85 2,346.85 500,000.00 0013035-0000735 DB:4621599.3 9