Pricing schedule for Institutional Customers

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Cash Management Pricing schedule for Institutional Customers Deutsche Bank AG Germany SWIFT BIC (DEUTDEFFXXX) Valid as of January 2018 General Terms and for Financial Institutions 1

Correspondent Banking Cash Services Payment Types 1. Treasury Payments (instructed by MT2xx) a) Payment orders By arrangement b) Payment orders received via clearing for further clearing and settlement By arrangement b) MT202COV EUR 4-- 2. Commercial Payments (instructed by MT103(+)) a) Payment orders with charge instruction BEN or SHA (if not specified differently below) All charges below are for account of the sending bank. b) Payments within the EU/EEA in an EU-/EEA-currency in compliance with the Payment Service Directive c) Payment orders with fee instruction OUR Up to EUR 2,500-- or equivalent Over EUR 2,500-- up to EUR 10,000-- or equivalent Over EUR 10,000-- up to EUR 25,000-- or equivalent Over EUR 25,000-- or equivalent Free of charge for the sending bank (deduct from proceed) EUR 3-- EUR 3.50 EUR 7-- EUR 10-- 0.1% max. EUR 50 d) SWIFT-to-Cheque EUR 100-- 2 Pricing Schedule for Institutional Customers January 2018

3. Commercial Receipts (received by MT103(+)) In case Deutsche Bank AG, Germany is the beneficiary bank and unless otherwise agreed: a) with charge instruction BEN or SHA Up to EUR 30-- or equivalent Over EUR 30-- up to EUR 2,500-- or equivalent Over EUR 2,500-- up to EUR 10,000-- or equivalent Over EUR 10,000-- up to EUR 25,000-- or equivalent Over EUR 25,000-- or equivalent b) Payment orders with fee instruction OUR (deduct from proceed) EUR 0-- EUR 3.50 EUR 7-- EUR 10-- 0.1% min. EUR 25-- max. EUR 50 Free of charge for the beneficiary Value Added Services 4. Payments requiring additional processing a) Amendments / cancellations / unable to execute (*) b) Return of funds: (*) For payments to the debit of an account with Deutsche Bank For payments received through other channels c) Investigations due to unable to apply / beneficiary claims non-receipt (*) d) Surcharge for investigation cases: (*) Older than 60 days Older than180 days EUR 25-- per order EUR 25-- per order e) Adjustment of value dates In line with European Interbank Compensation Guidelines f) Payments with the request to settle via RTGS system (//RT) EUR 2-- per order January 2018 Pricing Schedule for Institutional Customers 3

g) SWIFT payment orders requiring repair (non-stp items). EUR 6-- per order (*) except for Intra-Germany payments, which are free of charge. 4 Pricing Schedule for Institutional Customers January 2018

SEPA Clearing SEPA SCT & SDD Clearing 1. SEPA Clearing Service a) SEPA Indirect Participation By arrangement Value Added Services 2. SEPA items requiring additional processing a) Incoming SCT Recalls (*) EUR 25-- (deduct from proceed) b) SDD Returns EUR 0.30 (added to proceed) (*) except for Intra-Germany SCT s, which are free of charge. January 2018 Pricing Schedule for Institutional Customers 5

Cheque collection Standard Collection 1. When proceeds are to be remitted after collection a) Cheques drawn on Deutsche Bank AG, Germany: Up to EUR 100-- or equivalent Over EUR 100-- or equivalent EUR 15-- per cheque EUR 30-- per cheque 2. Unpaid items b) SWIFT advise EUR 10-- per message Cheques drawn on Deutsche Bank AG, Germany subject to return EUR 50-- per cheque 3. Cheques requiring additional processing a) Ineligible item EUR 25-- per cheque b) Amendments / cancellations / unable to execute c) Unable to apply / beneficiary claims non-receipt d) Surcharge for cases: Older than 60 days Older than180 days EUR 100-- per order EUR 150-- per order 6 Pricing Schedule for Institutional Customers January 2018

Miscellaneous Account 1. Account maintenance a) Account maintenance fee By arrangement b) Booking items By arrangement The above conditions apply to normal transactions by Deutsche Bank AG, Frankfurt am Main, Germany. An additional charge may be made for special services. Postage, cable and telephone charges, porterage and other out-of-pocket expenses as well as correspondents charges will be debited to Deutsche Bank s principal. All previous terms and conditions are hereby rendered invalid. Bilateral pricing agreements supersedes the above conditions. This List of for Banks applies as of January 2018. It serves as a general description of standard charges as of this date, which may be subject to change. Pricing can be adjusted by Deutsche Bank in relation to factors beyond the control of the bank (e.g. in case of regulatory or technical changes) at any time. Where appropriate, VAT or other local taxes are applicable. VAT or other applicable local taxes are not included in our pricing schedule. January 2018 Pricing Schedule for Institutional Customers 7

AG is authorised under German Banking Law (competent authorities: European Central Bank and German Federal Financial Supervisory Authority (BaFin)) and, in the United Kingdom, by the Prudential Regulation Authority. It is subject to supervision by the European Central Bank and the BaFin, and to limited supervision in the United Kingdom by the Prudential Regulation Authority and the Financial Conduct Authority. Details about the extent of our authorisation and supervision by these authorities are available on request. Copyright January 2018 Deutsche Bank AG. All rights reserved.