10.09.2013 16:42

EUR 60,000,000 – Step-up floating Rate Callable Subordinated Notes due September 2015 – ISIN – XS0230745837

Credit Europe Bank hereby gives notice in accordance with the ‘5.2 Redemption at the option of the issuer’ clause of the Terms and Conditions of the Notes, that CREDIT EUROPE BANK N.V. will redeem all outstanding captioned Notes on 30 September 2013 at 100% together with interest accrued to such date. On 30 September 2013, interest on the Notes will cease to accrue.