Subsidiaries private placements

Issuer ISIN Code Currency Type Notional /Mios Coupon Issue Date mm/dd/yyyy Expiration Date mm/dd/yyyy Issue Price
EFI NV XS0177089298 EUR Bond 300 5.250% 09/29/2003 09/29/2023 98.760
EFI NV XS0603195370 EUR Bond 150 5.600% 03/10/2011 03/10/2031 97.496
EFI NV XS0606860095 EUR Bond 50 5.650% 03/21/2011 03/21/2030 100.000
EFI NV XS0741152333 EUR Bond 50 5.800% 02/02/2012 02/02/2022 100.000
EFI NV XS0744019885 EUR Bond 100 INFLATION LINKED NOTE 02/21/2012 02/21/2024 100.000
EFI NV XS0743901968 EUR Bond 50 CMS LINKED 02/21/2012 02/21/2022 100.000
EFI NV XS0743901612 EUR Bond 50 CMS LINKED 02/21/2012 02/21/2022 100.000
EFI NV XS0748873840 EUR Bond 50 6.150% 02/21/2012 02/21/2027 100.000
EFI NV CH0198415074 CHF Bond 130 4.000% 10/26/2012 10/26/2027 101.296
EFI NV XS0858135527 EUR Bond 50 CMS LINKED 11/28/2012 11/28/2022 100.000
EFI NV XS0887325024 EUR Bond 100 CMS LINKED 02/18/2013 02/18/2023 100.000
EFI NV XS0910039451 EUR Bond 50 INFLATION LINKED NOTE 03/27/2013 03/27/2023 100.000
EFI NV XS0909326919 EUR Bond 50 CMS LINKED 04/04/2013 04/04/2025 100.000
EFI NV XS0918564682 EUR Bond 50 4.875% 04/19/2013 04/19/2028 100.000
EFI NV XS0920704920 EUR Bond 180 4.450% 04/23/2013 04/23/2025 100.000
EFI NV XS0918601989 EUR Bond 55 4.750% 04/24/2013 04/26/2027 100.000