List of Fees ENTREPRENEURS AND SMALL COMPANIES. Turnover up to CZK 25 Million

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List of Fees ENTREPRENEURS AND SMALL COMPANIES Turnover up to 25 Million Valid from 7/7/2016

Table of Contents 1. Day-to-Day Banking 02 1.1 Current Accounts 02 1.2 Escrow Accounts 02 1.3 Professional accounts 02 1.4 Special Current Account (Payment of Registered Capital) 03 1.5 Domestic Non-Cash Payments 03 1.6 Foreign Non-Cash Payments 04 1.7 Cash Payments 06 1.8 FX Transactions 06 1.9 Debit Cards 07 1.10 Card Insurance 07 1.11 Direct Banking 08 2. Savings 09 2.1 Savings Accounts and Time Deposits 09 3. Loans 10 3.1 Business FAIR Loans 10 3.2 Business FAIR Guarantees 10 3.3 Other Loans 10 4. Documentary Transactions 10 4.1 Documentary Transactions 10 5. Investment 11 5.1 Bonds 11 5.2 Funds 11 5.3 Other 12 6. Other Banking Services 13 6.1 Cheques 13 6.2 Banking Information 13 6.3 Safe Deposit Boxes 14 6.4 Other 14 Page 01

1. Day-to-Day Banking 1.1 Current Accounts Account opening / change / closing FAIR Account PODNIKATEL Business FAIR Account MINI AKTIV OPTIMAL Monthly account maintenance (actively used account) 399 Monthly account maintenance (inactively used account) 129 199 399 Actively used account criteria: Credit turnover = incoming payments from another bank, incoming payments from an account held by another Sberbank CZ client and cash deposits made during a given month credit turnover of at least 15,000 credit turnover of at least 100,000 New option of FAIR account at the client's request Electronic monthly account statement (estatement) / Account statement printed out at Infoterminal Account statement sent by post 40 Copy of account statement 50 Confirmation letter (balance / account / paid fee) 200 Account blocking (as per client's request) 200 FAIR Savings (PLUS) preferential interest rate FAIR Account (AKTIV) first account arranged for entrepreneurs for their personal use Foreign payments preferential rates 1.2 Escrow Accounts Account opening and maintenance, amendment to agreement 0.3% of the deposited amount, min. 6,000; max. 20,000 Adjustments to contract templates (as per client s request) 4,000 1.3 Professional Accounts Escrow account notaries (one-off fee) 300 Escrow account attorneys-at-law (one-off fee) 300 Distrainer (one-off fee) 300 Insolvency proceedings / bankruptcy (one-off fee) 300 Fees apply to accounts with accrued interest and include: account maintenance, account statements, all domestic payment transactions (with the exception of additional fees charged to express payments), deposits and cash withdrawals. Page 02

1. Day-to-Day Banking 1.4 Special Current Account (Payment of Registered Capital) Account opening 500 Account maintenance (monthly fee) Confirmation of deposit 1.5 Domestic Non-Cash Payments Incoming payment within Sberbank CZ FAIR Account PODNIKATEL Business FAIR Account MINI AKTIV OPTIMAL Incoming payment from another bank 5 Outgoing on-line payment within Sberbank CZ (including standing orders and direct debits) 20 incoming payments included in the account option fee, 5 per additional payment Outgoing on-line payment outside Sberbank CZ (including standing orders, direct debits and SIPO) 5 20 single payments, 20 standing orders, 20 direct debits included in the account option fee, 5 per any additional payment Outgoing payment PayU payments 5 Outgoing payment submitted on a paper form 75 Urgent payment (surcharge) 200 Unprocessed payment revoked on the payment date (always subject to agreement with the bank) Payment confirmation (processed payment / credited payment / standing order / pre-authorised direct debit and SIPO) Notification of non-payment (non-processed payment) Standing order, SIPO, pre-authorised direct debit new / changed / cancelled 150 100 (electronic or printed out at Infoterminal) / 50 (sent by post) (on-line) / 50 (at branch) Page 03

1. Day-to-Day Banking 1.6 Foreign Non-Cash Payments Clients with Business FAIR Account OPTIMAL Clients w/o Business FAIR Account OPTIMAL Incoming payment within Sberbank CZ Incoming payment (OUR payment instructions) Incoming EU payment (incl. SEPA payment) 50 150 Incoming Sberbank payment Incoming Rubl payment 100 100 Incoming payment up to 150 Incoming payment with BEN/SHA payment instructions (foreign currency / payment from abroad, foreign currency payment from another domestic bank) / incoming payment from another domestic bank credited to a foreign currency account 0.5%, min. 100; max. 400 0.9%, min. 150; max. 900 Outgoing payment within Sberbank CZ Outgoing payment from a foreign currency account to an account opened with another domestic bank 0.5%, min. 50; max. 300 Outgoing EU payment (incl. SEPA payment) 50 250 Outgoing Sberbank payment 100 100 Outgoing Rubl payment 1%, min 100; max. 300 300 Outgoing foreign currency / payment remitted abroad / to another domestic bank in a foreign currency Additional fee charged to each payment with OUR payment instructions (all transfer charges paid by the payer; beneficiary receives all payment) Additional fee charged to each payment submitted on a paper form (incl. payment transfers within Sberbank CZ) 1%, min. 150; max. 850 1%, min. 300; max. 1,700 1%, min. 300; max. 1,500 Additional fee charged to each NON-STP payment 400 Additional fee charged to each payment processed after cut off times (always subject to agreement with the bank) Additional fee charged to each urgent payment 750 Unprocessed payment revoked or modified on the payment date (always subject to agreement with the bank) Request to change the instructions / cancel and/or investigate a processed payment (requested by client or other bank) Confirmation of payment requested upon / after presenting a payment order 300 500 200 500 + fees charged by other banks 200 / 300 Account statement sent via SWIFT (one-off set-up fee) 1,000 Account statement sent via SWIFT (1 account, monthly frequency) 1,000 Notification of non-payment (non-processed payment) (electronic) / 200 (sent by post) Rejected payment (insufficient funds) 200 Returned payment (incorrect client's instructions) 300 Foreign standing order (new / changed / cancelled) 200 Page 04

1. Day-to-Day Banking 1.6 Foreign Non-Cash Payments TIP Send and receive payments in a foreign currency or from abroad at preferential rates try EU payment, SEPA payment, Sberbank payment or Rubl payment. EU Payment (incl. SEPA Payment) EU payment an incoming payment from an EEA country up to EUR 50,000 (inclusive) with valid IBAN and BIC; SHA charges apply. SEPA payment a payment in EUR with the same parameters as the EU payment, except for the limits (unlimited) and remitting banks (SEPA banks only); SEPA payments up to EUR 50,000 (inclusive) are charged as an EU payment; SEPA payments above EUR 50,000 are charged as an incoming payment with BEN/SHA payment instructions. EU payment an outgoing payment to an EEA country up to EUR 50,000 (inclusive) with valid IBAN and BIC; SHA charges apply. SEPA payment a payment in EUR with the same parameters as the EU payment, except for the limits (unlimited) and beneficiary banks (SEPA banks only); SEPA payments up to EUR 50,000 (inclusive) are charged as an EU payment; SEPA payments above EUR 50,000 are charged as an outgoing foreign payment in a foreign currency or in. Sberbank Payment An incoming payment in EUR, USD, RUB and remitted from Sberbank of Russia and its subsidiary banks in Belarus, Kazakhstan and Ukraine (payments in EUR and USD may be subject to the fees charged and deducted by the correspondent banks); and an incoming payment in EUR and remitted from the subsidiary banks of Sberbank Europe AG in Bosnia and Herzegovina, Croatia, Hungary, Serbia and Slovenia. An outgoing payment in EUR, USD, RUB and remitted to Sberbank of Russia and its subsidiary banks in Belarus, Kazakhstan and Ukraine payments with the OUR payment instruction are subject to an additional fee of 300; also an outgoing payment in EUR and remitted to the subsidiary banks of Sberbank Europe AG in Bosnia and Herzegovina, Croatia, Hungary, Serbia and Slovenia.. Rubl Payment An incoming payment in RUB other than Sberbank payment. An outgoing payment in RUB (other than Sberbank payment); payments with the OUR payment instruction are subject to an additional fee of 300. When completing a payment order, please make sure that all required fields are correctly completed, namely: Valid BIC and IBAN (payments remitted to an EEA country in any currency / payments remitted within the Czech Republic in a foreign currency). lid identification code of a bank (other payments). Any payment orders corrected manually by the bank (incorrect values, missing values, values in incorrect fields) are subject to an additional fee charged for a NON-STP payment. Page 05

1. Day-to-Day Banking 1.7 Cash Payments Cash deposit (at branch) Coin deposit (> 100 coins) 2%, min. 100 Exchange of coins ( 101 pcs / nominal value) 2%, min. 100 Exchange of banknotes ( 101 pcs / nominal value) 1.5% Additional fee charged to the deposit of unsorted banknotes (> 500,000 ) / day 0.1%, max. 1,000 Additional fee charged to the deposit of foreign currency (> 500,000 ) / day 0.1%, max. 1,000 Cash withdrawal (at branch) 60 Additional fee charged to the withdrawal of cash above 250,000 / day 0.2% of the withdrawn amount Additional fee charged to the withdrawal of foreign currency (excl. EUR, USD, GBP, CHF) 0.5% Large withdrawal without notice (> 250,000 ) 1,000 Uncollected funds (large withdrawals above 250,000, noticed) 0.5%, min. 500 1.8 FX Transactions Purchase / sale of a foreign currency 1%, min. 50 Page 06

1. Day-to-Day Banking 1.9 Debit Cards Issued card FAIR Account PODNIKATEL Business FAIR Account MINI AKTIV OPTIMAL Maestro / VISA Electron card maintenance (monthly fee) 30 MasterCard Standard / VISA Classic card maintenance (monthly fee) 1 card included in the account option fee / 60 per additional card 1 card included in the account option fee / 60 per additional card 2 cards included in the account option fee / 60 per additional card MasterCard Business / VISA Business card maintenance (incl. Exclusive Travel Insurance by ČSOB Pojišťovna and D.A.S. Legal Expenses Insurance) MasterCard Gold / VISA Gold card maintenance (incl. Gold Travel Insurance by ČSOB Pojišťovna and D.A.S. Legal Expenses Insurance) Non-cash payment for goods and services 200 400 ATM cash withdrawal (Sberbank, Czech Republic) ATM cash withdrawal (ČSOB and Era, Czech Republic) 10 ATM cash withdrawal (other banks / companies, Czech Republic) 37 37 37 ATM cash withdrawal (abroad) 75 + 0.5% Cash advance (Czech Republic) 1%, min. 50 Cash advance (abroad) 180 + 1% Reissued PIN (forgotten PIN) 160 PIN change (at ATM) 35 ATM balance enquiry (Sberbank CZ, ČSOB and Era) ATM balance enquiry (other banks and abroad) 9 CNP limit change (e.g. internet payments) ATM / POS limit change 30 Emergency cash advance (abroad) 3,000 Replaced card (abroad) 4,000 Released card retained at Sberbank CZ ATM 500 1.10 Card Insurance Insurance by Cardif Pojišťovna (monthly fee) Individual travel insurance 49 Family travel insurance 79 Card and personal possessions insurance 59 Insurance arranged to a valid card only (cannot be transferred). Page 07

1. Day-to-Day Banking 1.11 Direct Banking Sberbank Online Banking, Smart Banking Sberbank Online Banking services (monthly fee) Smart Banking services (monthly fee; services arranged exclusively to Sberbank Online Banking) Token (one-off fee charged for the first and second token issued to a client) Token (one-off fee charged for the third and additional tokens issued to a client) 300 New token (expired token) New token (lost / stolen token, token damaged by a client) 450 Security envelope (one-off fee) Re-issued security envelope (one-off fee) 150 Notification text message (Sberbank Online Banking login / balance / unauthorised overdraft / incoming or outgoing transaction) Other notification text messages Notification email 2.50 Homebanking Homebanking services (monthly fee charged to each client having arranged the services) 300 Gemini software (one-off installation and training fee; training provided in the Czech Republic) 3,000 Additional user station 1,500 Security envelope (one-off fee) Re-issued security envelope / renewed signature certificate (one-off fee) 150 Other services (repeated Gemini software training/re-installation at client's premises in the Czech Republic as per client's request) Termination of services 1,000 per hour of work MultiCash MultiCash services (monthly fee) 1,000 Installation (one-off fee) 7,000 Activation (one-off fee) 3,000 Other services (repeated MultiCash software training/re-installation at client's premises in the Czech Republic as per client's request) Termination of services 1,000 per hour of work Fees apply to one SW installation which can serve any number of accounts held by multiple clients (multiple legal entities or individuals) at Sberbank CZ. Page 08

2. Savings 2.1 Savings Accounts and Time Deposits Account opening / change / closing / maintenance (savings account) Sberbank Online Banking services (monthly fee, incl. Smart Banking services) Incoming domestic payment Outgoing domestic payment within Sberbank CZ (on-line payment) Outgoing domestic payment outside Sberbank CZ (on-line payment) 5 Account opening / maintenance / renewal (time deposits) Withdrawal of funds / termination of time deposit account before maturity 2% of the amount withdrawn before maturity, min. 1,000 Other fees not stipulated herein are governed by the respective chapters of the List of Fees. Page 09

3. Loans 3.1 Business FAIR Loans Loan processing Loan account maintenance (loans / overdraft facilities) Amended contractual terms and conditions (as per client's request) 5,000 Amended contractual terms and conditions (as per bank s request) Availability of funds Copy of an entry in the Land Register Early repayment 200 + VAT ( 3 pages) / 70 + VAT per additional page 1% of the prepaid portion; on the last day of the fixed rate period 3.2 Business FAIR Guarantees Facility processing Facility administration Amended contractual terms and conditions (as per client's request) 3,000 Amended bank guarantee (as per bank's request) Issued bank guarantee 3,000 Guarantee commission 3% p.a. of the issued bank guarantee amount, min. 1,500 Drafted wording (charged if the guarantee is not then issued) 3,000 Demanded guarantee 0.2 % of the guarantee amount, min. 1,000; max. 25,000 3.3 Other Loans Amended contractual terms and conditions (as per client's request) 5,000 Amended contractual terms and conditions (as per bank's request) Other fees not stipulated herein and charged for other loans are governed by Chapter 5 of the List of Fees applicable to medium enterprises with an annual turnover of 25 million 1.2 billion. 4. Documentary Transactions 4.1 Documentary Transactions Documentary transactions are governed by Chapter 6 of the List of Fees applicable to medium enterprises with an annual turnover between 25 million and 1.2 billion. Page 10

5. Investment 5.1 Bonds Purchase or sale Domestic bonds 0.6%, min. 180 International bonds 0.6%, min. EUR 50 Payment upon maturity Domestic bonds International bonds Coupon Payment: Bonds / mortgage bonds issued by Sberbank CZ Domestic bonds International bonds fees of foreign administrators (custodian) = 0.3% of the transaction volume, min. EUR 1.50; max. EUR 50 fees of foreign administrators (custodian) = 0.3% of the transaction volume, min. EUR 1.50; max. EUR 50 5.2 Funds Purchase of share certificates Money market mutual funds 30,000 299,999.99 0.75% 300,000 999,999.99 0.50% 1,000,000 0.35% Bond funds 30,000 299,999.99 2.00% 300,000 999,999.99 1.75% 1,000,000 1.50% Equity funds 30,000 299,999.99 3.75% 300,000 999,999.99 3.00% 1,000,000 2.75% Mixed funds, guaranteed investment funds, index funds and click funds 30,000 299,999.99 2.75% 300,000 999,999.99 2.50% 1,000,000 2.25% Sale of share certificates Transfer of share certificates within a single investment company (exchange of funds) Target fund with a higher purchase fee Target fund with a lower purchase fee Dividend payment difference between the higher and the lower purchase fee charged within the given band (based on the investment amount) Page 11

5. Investment 5.3 Other Securities trading new / changed / cancelled order Custody (annual maintenance) Custody account statement (annual / extraordinary) 0.2% p.a.; min. 200 / custody incl. VAT Transferred custody Domestic securities To custody From custody Foreign securities To custody From custody 1,000 / transaction + third party costs (upon request) EUR 40 / transaction + third party costs (upon request) Page 12

6. Other Banking Services 6.1 Cheques Collection (third party cheques; services available only to Sberbank CZ clients) Collected amount paid into an account Returned cheque sent for collection (unpaid) Issued Sberbank CZ client cheque 1%, min. 300; max. 3,000 + fees charged by other banks 500 + fees charged by other banks 3 per cheque Encashment In by transfer to client's account opened with Sberbank CZ 50 In a foreign currency by transfer to client's account opened with Sberbank CZ 0.5%, min. 50; max. 300 In by transfer to an account opened with another bank 1%, min. 100; max. 1,000 In a foreign currency by transfer to an account opened with another bank 1%, min. 100; max. 1,700 Cash payment up to 250,000 (or currency equivalent) 60 Cash payment above 250,000 (or currency equivalent) 60 + 0.2% 6.2 Banking information Disclosed banking information about a Sberbank CZ client As per client's request 1,000 + VAT As per client's request for audit purposes 2,000 + VAT Disclosed banking information about a Sberbank CZ client Banking information about a client of another bank disclosed to a Sberbank CZ client 400 + VAT per inquiry real costs + 1,000 + VAT per inquiry Page 13

6. Other Banking Services 6.3 Safe Deposit Boxes Safe deposit boxes located at: Praha Na Příkopě, Brno M-Palác, Brno Panská, České Budějovice, Hradec Králové, Ostrava, Praha Lazarská, Zlín and Karlovy Vary (for more information about the availability, please contact the respective branch). Size 5,000 cm 3 Annual Rent 600 + VAT 5,001 10,000 cm 3 1,020 + VAT 10,001 15,000 cm 3 1,500 + VAT 15,001 30,000 cm 3 2,520 + VAT 30,001 50,000 cm 3 4,020 + VAT 50,001 cm 3 9,000 + VAT Safe deposit box keys (deposit payment, 2 keys) 2,000 Request for payment (outstanding rent) Deposit of not collected contents Not emptied safe deposit box after terminated rental 100 + VAT 5,000 per year + VAT real costs incurred in emptying the safe deposit box 6.4 Other Request for payment (demand letter) First request for payment (demand letter) 250 Second and additional requests for payment (demand letter) 500 Unauthorised overdraft interest rate (current accounts) 25% p.a. Withdrawn / terminated agreement (loan default / immediate payment due to a breach of obligations) 1,000 Day and night safe keys and deposit bags (deposit payment) 3,000 Other services not stipulated in the List of Fees* Released security interest (movables) 200 per every 15 minutes of work (commenced) notary fee + VAT Execution 150 * Other than financial services stipulated in Act No. 235/2004 Sb., governing the value added tax, are subject to VAT at the standard rate. Page 14

Common Provisions Unless stipulated otherwise, all fees are in and the percentage fees are calculated with reference to the transaction amount. If marked as the service (fee for the service) is included in the monthly account maintenance fee. Unless agreed otherwise with reference to specific cases, transactions executed as per client s request are subject to the fees (if any) charged by domestic and foreign banks or other organisations collected by Sberbank CZ in addition to the fees stipulated herein. Information about the fees not stipulated herein is available per request at any Sberbank CZ branch. For further information (if any), please contact your relationship manager at your branch. Page 15

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