FRN Variable Rate Fix

LONDON, June 26, 2026–(BUSINESS WIRE)–

As Agent Bank, please be advised of the following rate determined on: 6/26/2026

Issue

¦ NatWest Markets Plc – Series 133 EUR 300,000,000 FRN due September 2027

ISIN Number

¦ XS3196552981

ISIN Reference

¦ 319655298

Issue Nomin EUR

¦ 300000000

Period

¦ 6/30/2026 to 9/30/2026

Payment Date 9/30/2026

Number of Days

¦ 92

Rate

¦ 2.691

Denomination EUR

¦ 100000

¦ 300000000

¦

Amount Payable per Denomination

¦ 687.7

¦ 2063100

¦

Bank of New York

Rate Fix Desk

Telephone

¦ 44 1202 689580

Corporate Trust Services

Facsimile

¦ 44 1202 689601

As Agent Bank, please be advised of the following rate determined on: 6/26/2026

¦ NatWest Markets Plc – Series 133 EUR 300,000,000 FRN due September 2027

Amount Payable per Denomination

View source version on businesswire.com: https://www.businesswire.com/news/home/20260626818171/en/

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