Please note that only the Spanish version of this document produces legal effect. Any translation is provided for commercial purposes only. APPENDIX 2a SPECIFIC CONDITIONS OF MEMBERSHIP GENERAL INFORMATION: Name Abbreviation name Legal Entity Identifier: LEI Tax residence: completed address (city, postal code, street, number, etc.…) Tax number ("NIF") VAT number Nationality Palacio de la Bolsa Plaza de la Lealtad, 1 28014 Madrid Tel.: +34 91 709 52 10 Fax: +34 91 709 52 50 SETTLEMENT AND REGISTRY BIC CODE1: BIC 11 Code Technical means Cash account at BdE-T2 Own2 Own4 Others3 Owner of the technical means Others5 Account holder 1 Applicants must provide as many copies of this page as BIC 11 codes they wish to have operational with IBERCLEAR. A detailed report must be furnished specifying the computer means available and that they meet the necessary requirements to become participant. 3 The document accepting the use of technical means must be provided. 4 Applicants must provide the notification of acceptance by Banco de España of its application for membership of the TARGET2Banco de España system. 5 The document accepting cash debits to the TARGET2-Banco de España payments module account must be furnished. 2 SETTLEMENT AND REGISTRY CONTACTS Name and surname of the contact (this person shall also be the administrator of the private section of the IBERCLEAR website) Address Post code E-mail Province Tel. FAX Tel. FAX Tel. FAX Name and surname of the Manager of the Cash Department Address Post code E-mail Province Name and surname of the Back Office Manager Address Post code E-mail Province E-MAILS FOR RECEIVING INFORMATION E-mail for receiving Circulars (one per entity) E-mail for receiving Instructions (one per entity) E-mail for receiving Informative Memos (one per entity) E-mail for receiving Notices (one per entity) SETTLEMENT AND REGISTRY SETTLEMENT AND REGISTRY FATCA STATUS FATCA status (Foreign Account Tax Compliance Act): Pursuant to Order HAP/1136/2014 of 30 June, the Participant: Is a Spanish Credit Institution obliged to notify information - state the GINN number obtained ................ Is a Spanish Credit Institution not obliged to notify information. In ... ... ... ... , on ... ... ... ... 20… For the Participant, Signed: … … … … … … … … … … … … SETTLEMENT AND REGISTRY APPENDIX 2b Document accepting the use of technical means In ... ... ... ... , on ... ... ... ... ... 20... . By this document, ………………….[name of the Participants]….., IBERCLEAR is notified that the entity [...............], in its operations with BIC code ………… avails itself of control systems and technical means via the entity […………], identified with BIC code…………………. which, in signing this document, stipulates its agreement. For the Entity, Signed: ..................... For the Entity providing the means, Signed: …………………….. SETTLEMENT AND REGISTRY APPENDIX 2c Document accepting cash debits to the TARGET2-Bank of Spain payments module account In ... ... ... ... , on ... ... ... ... 20 ... . By this document, ... ... ... ... ... ... ... ... ... the account holder ... ... ... ... ... ... ... ... ... .. , with tax number ... ... ... ... ... ... , with registered office at ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... , as the holder of the TARGET2-Banco de España payments module account, identified with BIC code ... ... ... ... ... … …, has given its consent to debit the cash settlements made by Sociedad de Gestión de los Sistemas de Registro, Compensación y Liquidación de Valores, S.A. Unipersonal (IBERCLEAR), and in its name and on its behalf ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... .... .... ... ... ... ..., with identity card number ... ... ... ... , authorised to this end in by virtue of a power of attorney drawn up before the Notary Public ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... , on ... ... ... ... ..., under number ... ... ... ... of its protocol, in accordance with the copy attached, declares as follows: 1.─ That it consents to debit to the aforementioned TARGET2-Banco de España payments module account of the debits/credits resulting from the cash settlements made by IBERCLEAR, in respect of ... ... ... ... ... ... ... ... the entity debiting ... ... ... ... ... ... ... ... , corresponding to Entity Code ... ... ... ... at IBERCLEAR in its operations with BIC code………………….. 2.─ That it agrees to be informed of cash movements in its account corresponding to entities debiting, either through these entities or via the procedure for monitoring cash accounts that is applicable to all participants in the Securities Settlement System and documented in the IBERCLEAR Procedures Manual. For the ,TARGET-2 Payments Account Holder For the Entity Debiting, Signed: .......................... Signed: .......................... SETTLEMENT AND REGISTRY APPENDIX 2d AUTHORISATION TO BANCO DE ESPAÑA [ ], [ ] of [ ] [ ] BANCO DE ESPAÑA Departamento de Sistemas de Pago Servicios de Pagos a Entidades de Crédito Alcalá, 48 28014 MADRID Dear Sirs, The entity [ ], with registered office at [ ], tax number [ ], registered in the Companies Register of [ ], in volume [ ], book [ ], page [ ], entry [ ], and duly represented to this end by Mr. [ ], with identity card number [ ], by virtue of [ ], hereby authorises Banco de España to debit in its TARGET2- Banco de España payments module account with BIC [ ], number [IBAN ], [or in the subaccount[s] number[s] [IBAN ]], any debit or credit positions arising from the payment instructions ordered by SOCIEDAD DE GESTIÓN DE LOS SISTEMAS DE REGISTRO, COMPENSACIÓN Y LIQUIDACIÓN DE VALORES, S.A. (IBERCLEAR) in relation to cash settlements of its net or bilateral positions arising from clearing procedures and exchange of securities and cash carried out via the securities settlement system, managed by the aforementioned company. [ ] likewise authorises Banco de España to perform whatever cash transfers that may be necessary between these accounts and subaccount[s] in the payments module, for the sole purpose of managing any settlements processed using settlement procedure 6 "dedicated liquidity". Yours faithfully, SETTLEMENT AND REGISTRY