List of Bonds which have been submitted Please note that the ...

07.03.2012 - 19 September 2016 GR1150001666. EUR 320,000,000 4.851 per cent. Notes due 19 September 2016. Athens Urban. Transportation.
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List of Bonds which have been submitted Please note that the following information does not constitute the Preliminary List and instead comprises a list of Bonds for which the relevant documentation has been submitted to ISDA for review. We should be grateful if any market participants with access to any of the missing documents identified below would kindly submit these to ISDA for our review. Bonds included on this list will be reviewed by the DC if a CDS auction is held for the Hellenic Republic. Market participants should not infer that any Bond included on this list will be deliverable, or otherwise.

A&O Ref No. 66

Maturity ISIN 08 November 2016 XS0071095045

Security Description JPY 40,000,000,000 4.5% Notes

Issuer The Hellenic Republic

No Governing documents Law of Notes received

English

Incomplete documentation

X

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

Other Comments

Pricing Supplement

Information Memorandum dated 6 November 1995 (a) Information Memorandum dated 6 November 1995

67

03 July 2017 XS0078057725

JPY 30,000,000,000 Euro Medium Term Note issued pursuant to the The Hellenic USD 5,000,000,000 Euro Medium Republic Term Note Programme

(b) Information Memorandum Addendum dated 6 November 1995

English

X - Pricing Supplement

n/a

Pricing Supplement unsigned

X - Pricing Supplement

n/a

Pricing Supplement unsigned

(c) Information Memorandum Addendum dated 2 May 1996 (d) Pricing Supplement dated 3 July 1997 (a) Information Memorandum dated 5 August 1997

68

08 August 2017 XS0079012166

JPY 50,000,000,000 3.80 per cent. Notes due 2017 issued pursuant to The Hellenic the USD 10,000,000,000 Euro Republic Medium Term Note Programme

(b) Information Memorandum Addendum dated 5 August 1997

English

(c) Pricing Supplement dated 7 August 1997 (a) Information Memorandum dated 29 May 1998 69

30 April 2019 XS0097010440

JPY 25,000,000,000 Euro Medium Term Note issued pursuant to the The Hellenic USD 20,000,000,000 Euro Medium Republic Term Note Programme

(b) Information Memorandum Addendum dated 29 May 1998

English

n/a

(c) Pricing Supplement dated 30 April 1999

70

71

72

21 May 2014 XS0097596463

03 June 2019 XS0097598329

14 April 2028 XS0110307930

EUR 70,000,000 15 Year Euro CMS Indexed Notes with The Hellenic Embedded Floor issued pursuant to Republic USD 20,000,000,000 Euro Medium Term Note Programme

(a) Information Memorandum dated 29 May 1998 X - Pricing Supplement

n/a

Pricing Supplement unsigned

X - Pricing Supplement

n/a

Pricing Supplement unsigned

(c) Pricing Supplement dated 21 May 1999 (a) Information Memorandum dated 29 May 1998

EUR 110,000,000 20 Year Euro CMS Indexed Notes with The Hellenic Embedded Floor issued pursuant to Republic USD 20,000,000,000 Euro Medium Term Note Programme

English

EUR 200,000,000 6.14 per cent. Notes due 14 April 2028

English

The Hellenic Republic

(b) Information Memorandum Addendum dated 29 May 1998

English

(b) Information Memorandum Addendum dated 29 May 1998 (c) Pricing Supplement dated 3 June 1999 Offering Circular dated 13 April 2000

n/a

(a) EUR 300,000,000 Floating Rate Notes due 2012

73

Interest Payment Date XS0147393861 falling in May 2012

0096820-0000032 ICM:14558837.2

(b) EUR 150,000,000 Floating Rate The Hellenic Notes due 2012 (to be consolidated Republic and form a single issue with the EUR 300,000,000 Floating Rate Notes due 15 May 2012 issued by the Republic on 15 May 2002)

(1) Offering Circular dated 13 May 2002 English

n/a (2) Offering Circular dated 23 March 2009

1

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

Security Description EUR 400,000,000 4.59 per cent. Notes due 8 April 2016 EUR 1,000,000,000 5.20 per cent. Bonds due 17 July 2034

Issuer The Hellenic Republic The Hellenic Republic

74

08 April 2016 XS0165956672

75

17 July 2034 XS0191352847

76

Interest Payment Date XS0192416617 falling in May 2034

EUR 1,000,000,000 Floating Rate Notes due 10 May 2034

77

Interest Payment Date XS0223064139 falling on 6 July 2025

EUR 400,000,000 Fixed to CMS Spread Linked Notes due 2025

78

No Governing documents Law of Notes received

Incomplete documentation

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

English

Offering Circular dated 4 April 2003

n/a

English

Offering Circular dated 29 April 2004

n/a

The Hellenic Republic

English

Offering Circular dated 7 May 2004

n/a

The Hellenic Republic

English

Offering Circular dated 4 July 2005

n/a

Interest Payment Date XS0223870907 falling on 7 July 2024

EUR 250,000,000 Fixed to Floating The Hellenic Rate Capped Government Bonds Republic due 2024

English

Offering Circular dated 5 July 2005

n/a

79

Interest Payment Date XS0224227313 falling on 13 July 2020

EUR 250,000,000 CMS - Linked Notes with Global Floor due 2020

The Hellenic Republic

English

Offering Circular dated 12 July 2005

n/a

80

Interest Payment Date XS0251384904 falling on 19 April 2021

EUR 250,000,000 CMS - Linked The Hellenic Notes with Coupon Floor due 2021 Republic

English

Offering Circular dated 18 April 2006

n/a

81

Interest Payment Date XS0255739350 falling on 31 May 2021

EUR 100,000,000 Fixed to Floating The Hellenic Rate Capped Government Bonds Republic due 2021

English

Offering Circular dated 30 May 2006

n/a

82

Interest Payment Date XS0256563429 falling on 9 June 2021

EUR 150,000,000 Fixed to CMS Spread Linked Notes due 2021

The Hellenic Republic

English

Offering Circular dated 8 June 2006

n/a

83

Interest Payment Date XS0260024277 falling on 5 July 2018

EUR 2,100,000,000 Floating Rate Notes due 2018

The Hellenic Republic

English

Offering Circular dated 4 July 2006

n/a

84

Interest Payment Date XS0260349492 falling on 10 July 2026

EUR 130,000,000 Fixed to CMS Spread Linked Notes due 2026

The Hellenic Republic

English

Offering Circular dated 7 July 2006

n/a

85

Interest Payment Date XS0286916027 on 22 February 2019

EUR 280,000,000 Fixed to CMS Spread Linked Notes due 2019

The Hellenic Republic

English

Interest Payment Date XS0292467775 falling on 25 July 2057

(a) EUR 1,000,000,000 2.085 per cent. Inflation Linked Notes due 25 July 2057 (b) EUR 600,000,000 2.085 per cent. Inflation Linked Notes due 25 The Hellenic July 2057 (to be consolidated and Republic form a single issue with the EUR 1,000,000,000 2.085 per cent. Inflation Linked Notes due 25 July 2057 issued by the Hellenic Republic on 30 March 2007)

English

87

Interest Payment Date XS0357333029 falling on 11 April 2016

(a) EUR 3,550,000,000 Floating Rate Notes due 11 April 2016 (b) EUR 550,000,000 Floating Rate Notes due 11 April 2016 The Hellenic (c) EUR 500,000,000 Floating Rate Republic Notes due 11 April 2016 (d) EUR 1,000,000,000 Floating Rate Notes due 11 April 2016

88

Interest Payment Date XS0372384064 falling on 25 June 2013

USD 1,500,000,000 4.625 per cent. The Hellenic Bonds due 25 June 2013. Republic

86

0096820-0000032 ICM:14558837.2

(a) Terms & Conditions X - T&Cs

n/a

(b) Termsheet (signed)

Other Comments

No offering documents produced for this issue of Bonds - extracted T&Cs reviewed.

(a) Offering Circular dated 29 March 2007 n/a (b) Offering Circular dated 28 March 2008

English

(a) Offering Circular dated 9 April 2008 (b) Offering Circular dated 9 July 2008 (c) Offering Circular dated 17 July 2008 (d) Offering Circular dated 8 August 2008

n/a

English

Offering Circular dated 24 June 2008

n/a

2

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

Security Description

Issuer

No Governing documents Law of Notes received

Incomplete documentation

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

Other Comments

X - T&Cs

Terms and Conditions unsigned

(a) Programme Deed dated 18 September 2008

102

103

104

105

106

107

19 September 2016 GR1150001666

12 August 2014 XS0198741687

Interest Payment Date falling in December XS0573070306 2013

Interest Payment Date falling on or nearest to XS0521410950 30 June 2013

13 February 2012 XS0706144051

07 February 2012 XS0702937060

EUR 320,000,000 4.851 per cent. Notes due 19 September 2016

EUR 160,000,000 4.301 per cent. Fixed Rate Guaranteed Notes due 2014 EUR 285,000,000 Floating Rate Notes due 2013 issued under the EUR700,000,000 Euro Medium Term Note Programme

EUR 215,000,000 Floating Rate Notes due 2013 issued under the EUR 700,000,000 Euro Medium Term Note Programme EUR 2,344,000,000 Fixed Rate Guaranteed Instruments due 13 February 2012 issued under the EUR 20,000,000,000 Programme for the Issuance of Debt Instruments EUR 1,500,000,000 Fixed Rate Guaranteed Instruments due 7 February 2012 issued under the EUR 20,000,000,000 Programme for the Issuance of Debt Instruments

Athens Urban Transportation Organization (OASA)

English

Athens Urban Transportation Organization (OASA)

English

(b) Terms and Conditions dated as per 18 September 2008

n/a X - Guarantee

Guarantee is extracted from a database.

X - Guarantee n/a

Guarantee unsigned

(c) Guarantee dated 12 September 2008 [database extract] (a) Offering Memorandum dated 10 August 2004 (b) Guarantee (a) Information Memorandum dated 22 June 2010

Attica Bank S.A.

English

(b) Final Terms dated 30 December 2010

n/a

(c) Guarantee dated 30 December 2010 (a) Information Memorandum dated 22 June 2010 Attica Bank S.A.

English

(b) Final Terms dated 29 June 2010

n/a

(c) Guarantee dated 29 June 2010 (a) Information Memorandum dated 4 February 2009 EFG Eurobank Ergasias S.A.

EFG Eurobank Ergasias S.A.

English

X

English

X

(b) Supplement to Information Memorandum dated 18 May 2010

(c) and (d) Supplements dated 10 December 2010, 1 June 2011

(e) Final Terms dated 11 November 2011

(f) Guarantee

(a) Information Memorandum dated 4 February 2009 (b) Supplement to Information Memorandum dated 18 May 2010

(c) and (d) Supplements dated 10 December 2010, 1 June 2011

(e) Final Terms dated 4 November 2011

(f) Guarantee

(a) Information Memorandum dated 4 February 2009

108

27 May 2014 XS0632454293

EUR 332,000,000 Floating Rate Guaranteed Instruments due May EFG Eurobank 2014 issued under the EUR Ergasias S.A. 15,000,000,000 Programme for the Issuance of Debt Instruments

English

X

(b) Supplement to Information Memorandum dated 18 May 2010 (d) Final Terms dated 27 May 2011

(c) Supplement X - Guarantee dated 10 December 2010

Guarantee is extracted from a database.

(c) Supplement X - Guarantee dated 10 December 2010

Guarantee is extracted from a database.

(e) Guarantee dated 31 May 2011 [database extract] (a) Information Memorandum dated 4 February 2009

109

21 December 2013 XS0571547057

EUR 4,280,000,000 Floating Rate Guaranteed Instruments due December 2013 issued under the EUR 15,000,000,000 Programme for the Issuance of Debt Instruments

EFG Eurobank Ergasias S.A.

English

X

(b) Supplement to Information Memorandum dated 18 May 2010 (d) Final Terms dated 21 December 2010 (e) Guarantee dated 21 December 2010 [database extract]

0096820-0000032 ICM:14558837.2

3

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

111

113

115

116

117

118

119

120

121

Maturity ISIN

07 May 2013 XS0508340857

26 April 2013 XS0500982490

20 December 2019 XS0280601658

24 May 2016 XS0193324380

29 October 2015 FR0010027557

02 April 2013 XS0165688648

27 December 2017 XS0160208772

13 September 2012 FR0000489676

30 January 2014 XS0142390904

0096820-0000032 ICM:14558837.2

Security Description

Issuer

EUR 700,000,000 Floating Rate Guaranteed Instruments due May 2013 issued under the EUR 5,000,000,000 Programme for the Issuance of Debt Instruments

EFG Eurobank Ergasias S.A.

English

Incomplete documentation

Document(s) Received/Reviewed (a) Information Memorandum dated 4 February 2009

(a) Information Memorandum dated 4 February 2009 English

(b) Final Terms dated 23 April 2010

X - Final Terms n/a

Final Terms unsigned

(c) Guarantee dated 22 April 2010

Hellenic Railways (OSE-Organismos English Sidirodromon Ellados)

(a) Terms and Conditions attached to the Permanent Global Note

n/a

(b) Guarantee dated 15 December 2006

Hellenic Railways (OSE-Organismos English Sidirodromon Ellados)

EUR 200,000,000 4.68 per cent. Guaranteed Notes due 2015

Hellenic Railways (OSE-Organismos English Sidirodromon Ellados)

EUR 430,000,000 4.495 per cent. Guaranteed Notes due 2013

Hellenic Railways (OSE-Organismos English Sidirodromon Ellados)

EUR 165,000,000 5.014 per cent. Guaranteed Notes due 2017

Hellenic Railways (OSE-Organismos English Sidirodromon Ellados)

(a) Offering Memorandum dated 18 December 2002

Hellenic Railways (OSE-Organismos English Sidirodromon Ellados)

(a) Offering Memorandum dated 10 September 2002

EUR 197,000,000 5.46 per cent. Guaranteed Notes due 2014

Other Comments

n/a

(b) Final Terms dated 7 May 2010

EUR 250,000,000 Floating Rate Guaranteed Notes due 2016

EUR 200,000,000 4.915 per cent. Guaranteed Notes due 2012

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

(c) Guarantee dated 6 May 2010

EUR 2,300,000,000 Floating Rate Guaranteed Instruments due April 2013 under the EUR 5,000,000,000 EFG Eurobank Programme for the Issuance of Ergasias S.A. Debt Instruments guaranteed by the Hellenic Republic

EUR 255,000,000 4.218 per cent. Guaranteed Notes due 2019

No Governing documents Law of Notes received

(a) Offering Memorandum dated 19 May 2004 n/a

Guarantee missing final page

n/a

Guarantee is only in draft form.

(b) Guarantee dated 18 May 2004

(a) Offering Memorandum dated 24 October 2003 (b) Guarantee

X - Draft Guarantee

(a) Offering Memorandum dated 28 March 2003 n/a (b) Guarantee dated 26 March 2003

n/a

(b) Guarantee dated 17 December 2002

n/a

(b) Guarantee dated 6 September 2002

Hellenic Railways (OSE-Organismos English Sidirodromon Ellados)

(a) Offering Memorandum dated 25 January 2002 n/a (b) Guarantee dated 22 January 2002

4

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

Security Description

Issuer

No Governing documents Law of Notes received

Incomplete documentation

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

Other Comments

(a) Information Memorandum dated 9 April 2009 (b) Supplement to Information Memorandum dated 22 April 2010

122

Interest Payment Date XS0634881436 falling in June 2014

EUR1,925,000,000 Floating Rate Notes due 2014 issued under the under the EUR25,000,000,000 Medium Term Note Programme

(c) Supplement to Information Memorandum dated 4 May 2010 National Bank of Greece S.A.

English

(d) Supplement to Information Memorandum dated 17 December 2010

n/a

(e) Supplement to Information Memorandum dated 20 May 2011 (f) Final Terms dated 6 June 2011 (g) Guarantee dated 6 June 2011 (a) Information Memorandum dated 9 April 2009 (b) Supplement to Information Memorandum dated 22 April 2010

123

Interest Payment Date falling in December XS0572875788 2013

EUR 4,107,700,000 Floating Rate Notes due 2013 issued under the National Bank of EUR 16,000,000,000 Medium Term Greece S.A. Note Programme

(c) Supplement to Information Memorandum dated 4 May 2010

English

n/a

(d) Supplement to Information Memorandum dated 17 December 2010 (e) Final Terms dated 22 December 2010 (f) Guarantee dated 22 December 2010 (a) Information Memorandum dated 9 April 2009

125

Interest Payment Date XS0508016325 falling in May 2013

EUR 655,000,000 Floating Rate Notes due 2013 issued under the National Bank of EUR 10,000,000,000 Medium Term Greece S.A. Note Programme

(b) Supplement to Information Memorandum dated 22 April 2010

English

n/a

(c) Final Terms dated 3 May 2010 (d) Guarantee dated 3 May 2010 (a) Information Memorandum dated 9 April 2009

126

Interest Payment Date XS0505568088 falling in April 2013

EUR 2,500,000,000 Floating Rate Notes due 2013 issued under the EUR 3,845,000,000 Medium Term Note Programme

National Bank of Greece S.A.

(b) Supplement to Information Memorandum dated 22 April 2010

English

n/a

Guarantee undated

(c) Final Terms dated 23 April 2010 (d) Guarantee

0096820-0000032 ICM:14558837.2

5

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

Security Description

Issuer

No Governing documents Law of Notes received

Incomplete documentation

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

Other Comments

(a) Information Memorandum dated 9 April 2009

127

Interest Payment Date XS0507425048 falling in May 2013

EUR 1,345,000,000 Floating Rate Notes due 2013 unconditionally and irrevocably guaranteed by the National Bank of Hellenic Republic under the EUR Greece S.A. 3,845,000,000 Medium Term Note Programme

(b) Supplement to Information Memorandum dated 22 April 2010

English

n/a

(c) Final Terms dated 30 April 2010 (d) Guarantee dated 30 April 2010

128

135

136

138

EUR 105,000,000 Floating Rate Notes due 2013

New Economy Development Fund English S.A. (Taneo)

Interest Payment Date XS0528405466 falling in July 2013

EUR 109,400,000 Floating Rate Notes due July 2013

Proton Bank S.A.

Interest Payment Date XS0524119988 falling in July 2013

EUR 40,000,000 Floating Rate Notes due July 2013

Proton Bank S.A.

EUR 355,000,000 Floating Rate Asset-Backed Notes due 2019

Aeolos S.A.

03 June 2013 XS0169599361

31 March 2019 XS0140322743

(a) Offering Memorandum dated 3 June 2003 X - Guarantee Trust Deed (b) Guarantee dated 3 June 2003 (Gazette extract)

Guarantee is extracted from Government Gazette

(a) Information Memorandum dated 22 July 2010 English

n/a (b) Guarantee dated 6 August 2010 (a) Information Memorandum dated 1 July 2010

English

n/a

Guarantee undated

(b) Guarantee (a) Offering Circular dated 13 December 2001 English

n/a (b) Undertaking dated 13 December 2001 (a) Information Memorandum dated 4 February 2009

110

21 June 2013 XS0519437916

EUR 3,820,000,000 Floating Rate Guaranteed Instruments due June EFG Eurobank 2013 issued under the EUR Ergasias S.A. 10,000,000,000 Programme for the Issuance of Debt Instruments

(b) Supplement to Information Memorandum dated X - Guarantee 18 May 2010

English

(c) Final Terms dated 21 June 2010

n/a

X - Final Terms

Guarantee is extracted from a database. Final terms unsigned

(d) Guarantee dated 22 June 2010 [database extract]

112

114

04 May 2013 XS0507201100

11 March 2014 XS0603687756

0096820-0000032 ICM:14558837.2

EUR 950,000,000 Floating Rate Guaranteed Instruments due May 2013 issued under the EUR 5,000,000,000 Programme for the Issuance of Debt Instruments

(a) Information Memorandum dated 4 February 2009 EFG Eurobank Ergasias S.A.

EUR 1,550,000,000 Floating Rate Guaranteed Instruments due March 2014 under the EUR EFG Eurobank 15,000,000,000 Programme for the Ergasias S.A. Issuance of Debt Instruments guaranteed by the Hellenic Republic

English

(b) Final Terms dated 30 April 2010

n/a

(c) Guarantee dated 30 April 2010 (a) Information Memorandum dated 4 February 2009

English

X

(b) Supplement to Information Memorandum dated X - Guarantee (c) Supplement 18 May 2010 dated 10 X - Final Terms December 2010 (d) Final Terms dated 11 March 2011

Guarantee is extracted from the Government Gazette. Final terms unsigned

(e) Guarantee dated 11 March 2011 [Gazette extract]

6

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

Security Description

Issuer

No Governing documents Law of Notes received

Incomplete documentation

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

Other Comments

(a) Information Memorandum dated 9 April 2009

124

Interest Payment Date XS0520036285 falling in June 2013

EUR 4,265,600,000 Floating Rate Notes due 2013 issued under the National Bank of EUR 10,000,000,000 Medium Term Greece S.A. Note Programme

(b) Supplement to Information Memorandum dated 22 April 2010 English

(c) Supplement to Information Memorandum dated 4 May 2010

n/a

(d) Final Terms dated 25 June 2010 (e) Guarantee dated 22 June 2010 (a) Offering Circular dated 12 December 2000 137

20 January 2013 XS0121591704

EUR 650,000,000 Floating Rate Asset-Backed Notes due 2013

Ariadne S.A.

English

(b) Performance Undertaking dated 13 December 2000

n/a

(a) Base Prospectus dated 4 July 2011 (b) Information Memorandum dated 4 July 2011

91

Interest Payment Date falling in or nearest to XS0651719378 July 2014

EUR 1,500,000,000 Floating Rate Notes due July 2014 issued under the EUR 10,000,000,000 Euro Medium Term Note Programme

AGRICULTURAL BANK OF GREECE S.A.

English (certain clauses Greek)

(c) Final Terms dated 25 July 2011 n/a (d) Guarantee dated 22 July 2011 (e) Agency Agreement dated 4 July 2011

(a) Base Prospectus dated 15 January 2010

92

Interest Payment Date falling in or nearest to XS0641312813 June 2014

EUR 1,000,000,000 Floating Rate Notes due June 2014 under the EUR 5,000,000,000 Euro Medium Term Note Programme

AGRICULTURAL BANK OF GREECE S.A.

English (certain clauses Greek)

(c) Final Terms dated 16 June 2011 X (d) Guarantee dated 16 June 2011

(b) Information Memorandum dated 24 June 2010

(e) Agency Agreement dated 15 January 2010 (a) Base Prospectus dated 15 January 2010

93

Interest Payment Date falling in or nearest to XS0570569839 December 2013

EUR 1,548,200,000 Floating Rate AGRICULTURAL Notes due December 2013 issued BANK OF under the EUR 5,000,000,000 Euro GREECE S.A. Medium Term Note Programme

(c) Final Terms dated 15 December 2010 and amended and restated on 14 June 2011

English (certain clauses Greek)

X

(b) Information Memorandum X - Guarantee (d) Guarantee dated 15 December 2010 [database dated 24 June extract] and amendment to Guarantee dated 14 2010 June 2011

Guarantee is extracted from a database.

(e) Agency Agreement dated 15 January 2010 (a) Base Prospectus dated 15 January 2010

94

Interest Payment Date falling in or nearest to XS0523214509 July 2013

EUR 648,600,000 Floating Rate AGRICULTURAL Notes due June 2013 issued under BANK OF the EUR 5,000,000,000 Euro GREECE S.A. Medium Term Note Programme

(c) Final Terms dated 30 June 2010 and amended and restated on 14 June 2011

English (certain clauses Greek)

X

(d) Guarantee dated 29 June 2010 [database extract] and amendment to Guarantee dated 14 June 2011

(b) Information Memorandum X - Guarantee dated 24 June 2010

Guarantee is extracted from a database.

(e) Agency Agreement dated 15 January 2010

0096820-0000032 ICM:14558837.2

7

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

Security Description

Issuer

No Governing documents Law of Notes received

Incomplete documentation

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

Other Comments

X - Guarantee

Guarantee is extracted from a database.

(a) Base Prospectus dated 28 April 2011

95

Interest Payment Date XS0633385678 falling in June 2014

EUR 400,000,000 Floating Rate Notes due June 2014 under the Alpha Bank AE EUR 30,000,000.000 Euro Medium Term Note Programme

English (certain clauses Greek)

(b) Information Memorandum dated 28 April 2011 (c) Final Terms dated 01 June 2011

n/a X - IM

Information Memorandum is only in word format.

(d) Guarantee dated 31 May 2011 [signed database extract] (a) Base Prospectus dated 16 March 2009

96

Interest Payment Date XS0423588861 falling in April 2012

EUR 1,000,000,000 Floating Rate Notes due April 2012 issued under Alpha Bank AE the EUR 30,000,000,000 Euro Medium Term Note Programme

English (certain clauses Greek)

Interest Payment Date XS0508044962 falling in May 2013

EUR 440,000,000 Floating Rate Notes due May 2013 under the EUR 30,000,000,000 EMTN Programme

English (certain clauses Greek)

X

(b) Information (c) Final Terms dated 27 April 2009 and restated on Memorandum 23 May 2011 X - Guarantee dated 16 March 2009 (d) Guarantee dated 24 April 2009 [database extract]

Guarantee is extracted from a database.

(a) Base Prospectus dated 16 April 2010 97

Alpha Bank AE

X

(b) Information (c) Final Terms dated 07 May 2010 and restated on Memorandum X - Guarantee 23 May 2011 dated 16 April 2010 (d) Guarantee dated 6 May 2010 [database extract]

Guarantee is extracted from a database.

(a) Base Prospectus dated 16 April 2010

98

Interest Payment Date XS0505643634 falling in April 2013

EUR 2,117,000,000 Floating Rate Notes due April 2013 under the EUR 30,000,000,000 EMTN Programme

Interest Payment Date XS0519037062 falling in June 2013

EUR 2,310,000,000 Floating Rate Notes due June 2013 under the EUR 30,000,000,000 EMTN Programme

Alpha Bank AE

English (certain clauses Greek)

Alpha Bank AE

English (certain clauses Greek)

X

(b) Information (c) Final Terms dated 28 April 2010 and restated on Memorandum 23 May 2011 X - Guarantee dated 16 April 2010 (d) Guarantee dated 23 April 2010 [database extract]

Guarantee is extracted from a database.

(a) Base Prospectus dated 16 April 2010 99

X

(c) Final Terms dated 22 June 2010 and restated on 23 May 2011

(b) Information Memorandum X - Guarantee dated 16 April 2010

Guarantee is extracted from a database.

(b) Information Memorandum X - Guarantee dated 16 April 2010

Guarantee is extracted from a database.

(b) Information Memorandum X - Guarantee dated 16 April 2010

Guarantee is extracted from a database.

(d) Guarantee 22 June 2010 [database extract] (a) Base Prospectus dated 16 April 2010

100

Interest Payment Date falling in December XS0572065513 2013

EUR 3,609,600,000 Floating Rate Notes due December 2013 under the EUR 30,000,000,000 EMTN Programme

Alpha Bank AE

English (certain clauses Greek)

X

(c) Final Terms dated 22 December 2010 and restated on 23 May 2011 (d) Guarantee dated 22 December 2010 [database extract] (a) Base Prospectus dated 16 April 2010

101

Interest Payment Date XS0589881381 falling in February 2014

EUR 950,000,000 Floating Rate Notes due February 2014 under the Alpha Bank AE EUR 30,000,000,000 EMTN Programme

English (certain clauses Greek)

X

(c) Final Terms dated 11 February 2011 and restated on 23 May 2011 (d) Guarantee dated 14 February 2011 [database extract] (a) Offering Circular dated 25 July 2011

129

Interest Payment Date falling in or nearest to XS0703365451 February 2012

EUR 1,500,000,000 Floating Rate Notes due February 2012 issued Piraeus Bank S.A. under the EUR25,000,000,000 Euro Medium Term Note Programme

English (certain clauses Greek)

(b) Supplement dated 6 October 2011 X

Guarantee (c) Information Memorandum dated 25 July 2011 (d) Final Terms dated 3 November 2011

0096820-0000032 ICM:14558837.2

8

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

Security Description

Issuer

No Governing documents Law of Notes received

Incomplete documentation

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

Other Comments

(a) Offering Circular dated 25 July 2011

130

Interest Payment Date falling in or nearest to XS0703356542 February 2012

EUR 1,750,000,000 Floating Rate Notes due February 2012 issued Piraeus Bank S.A. under the EUR25,000,000,000 Euro Medium Term Note Programme

English (certain clauses Greek)

(b) Supplement dated 6 October 2011 X

Guarantee (c) Information Memorandum dated 25 July 2011 (d) Final Terms dated 1 November 2011 (a) Offering Circular dated 16 August 2010 (b) Information Memorandum dated 16 August 2010

131

Interest Payment Date falling in or nearest to XS0591469639 February 2014

EUR950,000,000 Floating Rate Notes due February 2014 issued Piraeus Bank S.A. under the EUR20,000,000,000 Euro Medium Term Note Programme

(c) Supplement to the Offering Circular dated 24 September 2010

English (certain clauses Greek)

X - Guarantee n/a

Guarantee is extracted from a database.

X - Guarantee n/a

Guarantee is extracted from a database.

X - Guarantee n/a

Guarantee is extracted from a database.

(d) Supplement to the Offering Circular dated 15 December 2010 (e) Final Terms dated 11 Feb 2011 (f) Guaranteed dated 25 February 2011 [database extract] (a) Offering Circular dated 16 August 2010 (b) Information Memorandum dated 16 August 2010

132

Interest Payment Date falling in or nearest to XS0570761196 December 2013

EUR 3,572,100,000 Floating Rate Notes due December 2013 issued under the EUR 20,000,000,000 Euro Medium Term Note Programme

(c) Supplement to the Offering Circular dated 24 September 2010

English (certain Piraeus Bank S.A. clauses Greek)

(d) Amended & Restated Final Terms originally dated 14 December 2010 and amended and restated on 13 May 2011 effective from 18 March 2011 (e) Guarantee dated 17 December 2010 [database extract] (a) Offering Circular dated 12 August 2009 (b) Information Memorandum dated 12 August 2009

133

Interest Payment Date falling in or nearest to XS0519185093 June 2013

EUR 2,206,500,000 Floating Rate Notes due June 2013 issued under Piraeus Bank S.A. the EUR 10,000,000,000 Euro Medium Term Note Programme

(c) Supplement to Offering Circular dated 4 September 2009

English (certain clauses Greek)

(d) Supplement to Offering Circular dated 25 January 2010 (e) Amended & Restated Final Terms originally dated 16 June 2010 and amended and restated on 13 May 2011 effective from 19 March 2011 (f) Guarantee dated 24 June 2010 [database extract]

0096820-0000032 ICM:14558837.2

9

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

Security Description

Issuer

No Governing documents Law of Notes received

Incomplete documentation

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

Other Comments

(a) Offering Circular dated 12 August 2009 (b) Information Memorandum dated 12 August 2009

134

Interest Payment Date falling in or nearest to XS0505668540 April 2013

(a) EUR 1,970,000,000 Floating Rate Notes due April 2013 issued under the EUR 10,000,000,000 Euro Medium Term Note Programme

(c) Supplement to Offering Circular dated 4 September 2009

English (certain Piraeus Bank S.A. (b) EUR 400,000,000 Floating Rate clauses Notes due April 2013 (to be Greek) consolidated and form a single series with the existing EUR 1,970,000,000 Floating Rate Notes due April 2013)

(d) Supplement to Offering Circular dated 25 January 2010

X - Guarantee n/a

Guarantee is extracted from a database.

(e) Amended & Restated Final Terms originally dated 23 April 2010 and amended and restated on 13 May 2011 effective from 28 April 2011 (f) Amended & Restated Final Terms originally dated 5 May 2010 and amended and restated on 13 May 2011 effective from 28 April 2011 (g) Guarantee dated 6 May 2010 [database extract]

5

6

7

8

30 June 2012 GR0106003792

20 March 2012 GR0110021236

31 March 2013 GR0110022242

31 July 2013 GR0110023257

9

25 July 2014 GR0112003653

10

30 September 2014 GR0112004669

11

20 August 2012 GR0114020457

12

20 August 2013 GR0114021463

2 Ministerial Decisions

EUR 139,430,089.87 1% Bonds due 30 June 2012

The Hellenic Republic

Greek

EUR 7,000,000,000 4.30 per cent Bonds due 20 March 2012

The Hellenic Republic

Greek

EUR 60,714,287.00 4.5066% Bonds due 31 March 2013

The Hellenic Republic

Greek

EUR 128,571,432.00 4.4268% Bonds due 31 July 2013

The Hellenic Republic

Greek

EUR 207,142,861 3.985% Bonds due 25 July 2014

The Hellenic Republic

Greek

EUR 114,285,716.00 4.41125% Bonds due 30 September 2014

The Hellenic Republic

Greek

EUR 1,700,000,000 4.10% Bonds due 20 August 2012 EUR 1,500,000,000 4.00% Bonds due 20 August 2013

The Hellenic Republic The Hellenic Republic

n/a Announcement dated 12 May 2011 (Greek) 2 Ministerial Decisions n/a Offering Circular dated 16 February 2009. 2 Ministerial Decisions n/a Announcement dated 12 May 2011 (Greek) 2 Ministerial Decisions n/a Announcement dated 12 May 2011 (Greek) 4 Ministerial Decisions Listing Announcement dated 18 February 2011 (Greek/English) 2 Ministerial Decisions

n/a

n/a Announcement dated 12 May 2011 (Greek)

Greek

4 Ministerial Decisions

n/a

Greek

3 Ministerial Decisions

n/a

(a) EUR5,500,000,000 5.50 per cent Bonds due 20 August 2014

13

20 August 2014 GR0114022479

0096820-0000032 ICM:14558837.2

(b) EUR 7,000,000,000 5.50 per cent Bonds due 20 August 2014 (to The Hellenic be consolidated and form a single Republic issue with the EUR5,500,000,000 5.50 per cent. Bonds due 20 August 2014 issued by the Hellenic Republic on 28 January 2009).

(a) Offering Circular dated 26 January 2009 Greek

(b) Offering Circular dated 6 April 2009

n/a

(c) 2 Ministerial Decisions

10

07/03/2012

List of Bonds which have been submitted

A&O Ref No. 14

15

Maturity ISIN 20 August 2015 GR0114023485

30 September 2015 GR0114024491

Security Description

Issuer

No Governing documents Law of Notes received

EUR 8,000,000,000 6.10 per cent. The Hellenic Bonds due 20 August 2015. Republic

Greek

EUR 214,285,716 3.7017% Bonds The Hellenic due 30 September 2015 Republic

Greek

EUR 171,428,571.42 4.0195% Bonds due 19 April 2013

The Hellenic Republic

Greek

17

20 April 2017 GR0118012609

EUR 5,000,000,000 5.90 per cent. The Hellenic Bonds due 20 April 2017. Republic

Greek

EUR 249,999,999.97 4.675% Bonds due 9 October 2017

The Hellenic Republic

Greek

EUR 399,999,999.98 4.225% Bonds due 1 March 2017

The Hellenic Republic

Greek

EUR 350,000,000.00 5.161% Bonds due 17 September 2019

The Hellenic Republic

Greek

EUR 444,000,000.01 4.59% Bonds The Hellenic due 3 April 2018 Republic

Greek

EUR 112,000,000.00 5.014% Bonds due 27 February 2019

The Hellenic Republic

Greek

EUR 424,999,999.97 5.959% Bonds due 4 March 2019

The Hellenic Republic

Greek

19

20

21

22

23

24

25

26

27

29

30

31

01 March 2017 GR0118014621

17 September 2019 GR0120002135

03 April 2018 GR0120003141

27 February 2019 GR0122002737

04 March 2019 GR0122003743

n/a

n/a

n/a

n/a

n/a Announcement dated 12 May 2011 (Greek) 2 Ministerial Decisions n/a Announcement dated 12 May 2011 (Greek) Offering Circular dated 16 January 2002

Greek

20 May 2013 GR0124021552

EUR 5,000,000,000 4.6 per cent. Bonds due 20 May 2013

The Hellenic Republic

Greek

EUR 410,329,000 3.9% Bonds due The Hellenic 3 July 2013 Republic

Greek

0096820-0000032 ICM:14558837.2

n/a

Announcement dated 12 May 2011 (Greek) 2 Ministerial Decisions

The Hellenic Republic

20 July 2015 GR0124026601

n/a

Announcement dated 12 May 2011 (Greek) 2 Ministerial Decisions

EUR 413,711,000 5.25% Bonds due 20 June 2012

01 July 2014 GR0124025595

Listing Announcement dated 18 February 2011 (Greek/English) 1 Ministerial Decision

Announcement dated 12 May 2011 (Greek) 2 Ministerial Decisions

20 June 2012 GR0124020547

20 May 2014 GR0124024580

n/a

Announcement dated 12 May 2011 (Greek) 2 Ministerial Decisions

Greek

03 July 2013 GR0124022568

n/a

Offering Circular dated 1 April 2010 2 Ministerial Decisions

EUR 5,000,000,000 5.25 per cent. The Hellenic Bonds due 18 May 2012 Republic

18 May 2012 GR0124018525

Other Comments

Announcement dated 12 May 2011 (Greek) 2 Ministerial Decisions

19 April 2013 GR0116002875

09 October 2017 GR0118013615

Document(s) Received/Reviewed 1 Ministerial Decision Offering Circular dated 29 January 2010. 2 Ministerial Decisions

16

18

Incomplete documentation

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

X Includes only summary of Terms and Conditions 2 Ministerial Decisions Offering Circular dated 15 January 2003 X Includes only summary of Terms and Conditions

Relevant Ministerial Only Offering Circular Decision could not reviewed be identified. n/a Relevant Ministerial Only Offering Circular Decision could not reviewed be identified.

1 Ministerial Decision n/a Announcement 31 dated September 2003 (English) Offering Circular dated 12 January 2004

EUR 5,000,000,000 4.5 per cent. Bonds due 20 May 2014

The Hellenic Republic

Greek

EUR 423,967,000 4.50% Bonds due 1 July 2014

The Hellenic Republic

Greek

EUR 5,000,000,000 3.70 per cent. The Hellenic Bonds due 20 July 2015. Republic

Greek

X Includes only summary of Terms and Conditions

Relevant Ministerial Only Offering Circular Decision could not reviewed be identified.

1 Ministerial Decision n/a Announcement 35 September 2004 (English) Offering Circular dated 21 February 2005 n/a 4 Ministerial Decisions

11

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

32

10 November 2015 GR0124027617

33

34

35

36

37

40

41

42

43

44

45

20 July 2016 GR0124028623

20 July 2017 GR0124029639

20 July 2018 GR0124030645

19 July 2019 GR0124031650

19 June 2020 GR0124032666

22 October 2019 GR0133001140

22 October 2022 GR0133002155

20 March 2024 GR0133003161

20 March 2026 GR0133004177

20 September 2037 GR0138001673

20 September 2040 GR0138002689

Security Description

Issuer

No Governing documents Law of Notes received

Greek

EUR 5,000,000,000 3.60 per cent. The Hellenic Notes due 20 July 2016. Republic

Greek

EUR 5,000,000,000 4.30 per cent. The Hellenic Bonds due 20 July 2017. Republic

Greek

EUR 4,000,000,000 4.60 per cent. The Hellenic Notes due 20 July 2018. Republic

Greek

n/a 3 Ministerial Decisions

EUR 8,000,000,000 6.00 per cent. Bonds due 19 July 2019 (to be consolidated and form a single issue with the The Hellenic EUR7,500,000,000 6.00 per cent. Republic Bonds due 19 July 2019 issued by the Hellenic Republic on 11 March 2009)

Greek

EUR 5,000,000,000 6.25 per cent. The Hellenic Notes due 19 June 2020. Republic

Greek

X

Offering Circular dated 9 June 2009 (second tranche only) 2 Ministerial Decisions

[Offering Circular Missing Offering Circular for initial issue of not required to review terms Notes] and conditions of Bonds

Offering Circular dated 10 March 2010 n/a 1 Ministerial Decision 1 Ministerial Decision

The Hellenic Republic

Greek

EUR 3,500,000,000 5.90 per cent. The Hellenic Notes due 22 October 2022. Republic

Greek

EUR 5,000,000,000 4.70 per cent. The Hellenic Bonds due 20 March 2024. Republic

Greek

EUR 7,000,000,000 5.30 per cent. The Hellenic Bonds due 20 March 2026. Republic

Greek

EUR 5,000,000,000 4.50 per cent. The Hellenic Bonds due 20 September 2037. Republic

Greek

EUR 4,000,000,000 4.60 per cent. The Hellenic Bonds due 20 September 2040. Republic

Greek

X In relation to the tap issue only

Offering Circular dated 22 April 2002 X Includes only summary of Terms and Conditions

Ministerial Decision in relation to initial issue of Bonds could not be identified. Relevant Ministerial Decision could not be identified.

Only Ministerial Decision for tap issue reviewed

Only Offering Circular reviewed

Offering Circular dated 29 May 2007 n/a 4 Ministerial Decisions Offering Circular dated 9 November 2009 n/a 1 Ministerial Decision Offering Circular dated 4 March 2005 n/a 2 Ministerial Decisions Offering Circular dated 2 February 2007 n/a 2 Ministerial Decisions Greek

47

19 April 2013 GR0326040236

EUR 915,000,000 Zero Coupon Bonds due 19 April 2013

The Hellenic Republic

Greek

EUR 300,872,610.37 Bonds due 22 December 2012

The Hellenic Republic

Greek

EUR 303,354,265.98 Bonds due 22 December 2013

The Hellenic Republic

Greek

0096820-0000032 ICM:14558837.2

n/a 4 Ministerial Decisions Offering Circular dated 9 May 2008

The Hellenic Republic

22 December 2013 GR0326043263

n/a 3 Ministerial Decisions Offering Circular dated 15 January 2007

EUR 383,740,000 3.85% Bonds due 27 December 2016

49

n/a Offering Circular dated 17January 2006

27 December 2016 GR0326038214

22 December 2012 GR0326042257

Other Comments

Announcement 40 dated December 2005 (English)

46

48

Document(s) Received/Reviewed 1 Ministerial Decision

EUR 424,967,000 3.7% Bonds due The Hellenic 10 November 2015 Republic

EUR 200,000,000 Bonds due 22 October 2019 (tap issue only)

Incomplete documentation

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

1 Ministerial Decision

n/a

2 Ministerial Decisions n/a Announcement dated 29 April 2010 (Greek) 1 Resolution n/a 3 Ministerial Decisions 1 Resolution n/a 3 Ministerial Decisions

12

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

Security Description

Issuer

No Governing documents Law of Notes received

Incomplete documentation

(a) EUR 1,250,000,000 2.90 per cent. Inflation Linked Bonds due 25 July 2025.

50

25 July 2025 GR0338001531

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

Other Comments

(a) Offering Circular dated 26 March 2003

(b) EUR 1,750,000,000 2.90 per cent. Inflation Linked Bonds due 25 The Hellenic July 2025 (to be consolidated and Republic form a single issue with the EUR 1,250,000,000 2.90 per cent. Inflation Linked Bonds due 25 July 2025 issued by Hellenic Republic on 27 March 2003).

(b) Offering Circular dated 2 February 2004 Greek

X

Includes only summary of Terms and Conditions (c) 3 Ministerial Decisions (in relation to further tap issues only)

Relevant Ministerial Decision for initial Only Offering Circular issue and tap reviewed issue could not be identified.

(a) EUR 3,500,000,000 2.30 per cent. Inflation Linked Bonds due 25 July 2030. (a) Offering Circular dated 12 April 2007 51

25 July 2030 GR0338002547

52

31 December 2012 GR0508001121

53

20 February 2013 GR0512001356

54

21 May 2014 GR0514017145

55

56

57

23 July 2014 GR0514018150

10 August 2014 GR0514019166

04 February 2015 GR0514020172

(b) EUR 4,000,000,000 2.30 per cent. Inflation Linked Bonds due 25 The Hellenic July 2030 (to be consolidated and Republic form a single issue with the EUR 3,500,000,000 2.30 per cent. Inflation Linked Bonds due 25 July 2030 issued by the Hellenic Republic on 16 April 2007). EUR 45,714,285.70 6-month EURIBOR plus 0.15% Bonds due 31 December 2012 EUR 2,820,000,000 6-month EURIBOR plus 2.00% Bonds due 20 February 2013 EUR 3,690,285,000 6-month EURIBOR plus 1.30% Bonds due 21 May 2014

(b) Offering Circular dated 28 January 2008

Greek

n/a

(c) 2 Ministerial Decisions

The Hellenic Republic

Greek

2 Ministerial Decisions

n/a

The Hellenic Republic

Greek

2 Ministerial Decisions

n/a

The Hellenic Republic

Greek

EUR 78,300,000 6-month EURIBOR plus 0.83% Bonds due 23 July 2014

The Hellenic Republic

Greek

EUR 1,500,000,000 6-month EURIBOR plus 0.63% Bonds due 10 August 2014

The Hellenic Republic

Greek

EUR 2,020,000,000 6-month The Hellenic EURIBOR plus 2.50% Bonds due 4 Republic February 2015

Greek

2 Ministerial Decisions n/a Announcement dated 5 June 2009 (Greek) 1 Ministerial Decision n/a Announcement 55 dated September 2009 (English) 1 Ministerial Decision n/a Announcement 55 dated September 2009 (English) 1 Ministerial Decision n/a Announcement 57 dated March 2010 (English) 2 Ministerial Decisions

58

21 May 2016 GR0516003606

EUR 204,351,791.99 6-month EURIBOR plus 0.20% Bonds due 21 May 2016

The Hellenic Republic

Greek

Government Gazette - Loan Agreement

n/a

Announcement dated 12 May 2011 (Greek) 2 Ministerial Decisions 59

01 July 2017 GR0518071916

EUR 83,517,391.02 6-month The Hellenic EURIBOR plus 0.85% Bonds due 1 Republic July 2017

Greek

Government Gazette - Loan Agreement

n/a

Announcement dated 12 May 2011 (Greek)

0096820-0000032 ICM:14558837.2

13

07/03/2012

List of Bonds which have been submitted

A&O Ref No.

Maturity ISIN

Security Description

Issuer

No Governing documents Law of Notes received

01 July 2017 GR0518072922

EUR 415,504,968.36 6-month The Hellenic EURIBOR plus 0.9878% Bonds due Republic 1 July 2017

61

04 April 2017 GR0528002315

EUR 3,500,000,000 6-month The Hellenic EURIBOR plus 0.09% Bonds due 4 Republic April 2017

Greek

89

09 March 2012 GR0026111188

EUR 12,714,000 4.80% Treasury Bills due 9 March 2012

The Hellenic Republic

Greek

EUR 1,455,000,000 4.80% Treasury Bills due 9 March 2012

The Hellenic Republic

Greek

Repubblica Ellenica TF 5% 1999/2019 Bond of EUR 200,000,000

The Hellenic Republic

Italian

60

Incomplete documentation

Greek

Document(s) Received/Reviewed 2 Ministerial Decisions Government Gazette - Loan Agreement

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

Other Comments

n/a

Announcement dated 12 May 2011 (Greek)

90

62

09 March 2012 GR0002087501

11 March 2019 IT0006527532

3 Ministerial Decisions

n/a

Announcement dated 14 September 2011 n/a 3 Ministerial Decisions Announcement dated 14 September 2011 n/a 3 Ministerial Decisions (a) Terms and Conditions dated [3 March 1999] (Italian) n/a (b) English Translation of Terms and Conditions (provided by A&O Rome)

2

01 February 2016

#N/A (Used COTT3266034)

NB Duplicate Entry for Bond 63

The Hellenic Republic

Japanese

Prospectus for the issuance of the Hellenic Republic 10th, 11th and 12th Japanese Yen bonds dated 22 January 1996

3

22 August 2016

#N/A (used COTT3299373)

NB Duplicate Entry for Bond 65

The Hellenic Republic

Japanese

Prospectus for the issuance of the Hellenic Republic 13th, 14th and 15th Japanese Yen bonds dated 2 August 1996

n/a

n/a

63

01 February 2016 JP530000BS19

The Hellenic Republic 12th JPY The Hellenic 30,000,000,000 5.25% Bonds due 1 Republic February 2016

Japanese

Prospectus for the issuance of the Hellenic Republic 10th, 11th and 12th Japanese Yen bonds dated 22 January 1996

n/a

64

14 July 2015 JP530000CR76

The Hellenic Republic 9th JPY The Hellenic 20,000,000,000 Bonds due 14 July Republic 2015

Japanese

Prospectus for issuance of the Hellenic Republic 7th, 8th and 9th Japanese Yen bonds dated 29 June 1995

n/a

65

22 August 2016 JP530000CS83

The Hellenic Republic 15th JPY 40,000,000,000 5.00% Bonds due 22 August 2016

Japanese

Prospectus for the issuance of the Hellenic Republic 13th, 14th and 15th Japanese Yen bonds dated 2 August 1996

n/a

X

Prospectus dated February 1995

Guarantee

X

Prospectus dated December 1996

Guarantee

Prospectus dated 29 June 2005

n/a

The Hellenic Republic

Prospectus reviewed makes no reference to ISIN, but we understand this is standard practice in Japanese issuances Prospectus reviewed makes no reference to ISIN, but we understand this is standard practice in Japanese issuances Prospectus reviewed makes no reference to ISIN, but we understand this is standard practice in Japanese issuances Prospectus reviewed makes no reference to ISIN, but we understand this is standard practice in Japanese issuances Prospectus reviewed makes no reference to ISIN, but we understand this is standard practice in Japanese issuances

Hellenic Railways 139

03 March 2015 JP530005AR32

JPY 10,000,000,000 Bonds due (OSE-Organismos Japanese Sidirodromon March 2015 Ellados)

140

4

06 December 2016 JP530005ASC0

05 July 2013 CH0021839524

0096820-0000032 ICM:14558837.2

JPY 8,700,000,000 Bonds due December 2016

Hellenic Railways (OSE-Organismos Japanese Sidirodromon Ellados)

2.125% Bonds 2005-2013 of CHF 650,000,000

The Hellenic Republic

Swiss

14

07/03/2012

List of Bonds which have been submitted

A&O Ref No. 1

Maturity ISIN 14 July 2015

#N/A Not Applicable

28

30 September 2013 GR0124023574

38

20 May 2013 GR0128001584

39

11 January 2014 GR0128002590

0096820-0000032 ICM:14558837.2

Security Description

Issuer

No Governing documents Law of Notes received

JPY 20,000,000,000 5.8% Notes due 14 July 2015

The Hellenic Republic

To be determined

The Hellenic Republic The Hellenic Republic The Hellenic Republic

To be determined To be determined To be determined

Incomplete documentation

Document(s) Received/Reviewed

Reliance on draft/ unsigned/ Document(s) extracted documents? Missing

X

n/a

All

X

n/a

All

X

n/a

All

X

n/a

All

15

Other Comments No documents identified but description matches Bond 64, likely to be duplication

07/03/2012

.

Bonds identified from the Exchange Offer Memorandum, US Invitation Memorandum and Reg S Invitation Memorandum, but not yet submitted for review Please note that we are aware of the following Bonds identified in each of the Exchange Offer Memorandum, US Invitation Memorandum and Reg S Invitation Memorandum for which no relevant documentation has yet been submitted. This list therefore serves as a reminder to market participants to please submit any relevant documentation to ISDA if they wish for any of the following Bonds to be reviewed.

Security Description

Issuer

21 December 2012 XS0208636091

EUR 250,000,000 Notes due 2012

Hellenic Railways (OSE-Organismos Sidirodromon Ellados)

[English]

X

n/a

All

142

17 March 2017 XS0215169706

EUR 450,000,000 Notes due 2017

Hellenic Railways (OSE-Organismos Sidirodromon Ellados)

[English]

X

n/a

All

143

28 August 2015 GR1150003688

X

n/a

All

144

14 June 2037 GR1150002672

X

n/a

All

145

11 October 2013 GR2000000064

X

n/a

All

146

27 December 2014 GR2000000023

X

n/a

All

147

04 March 2016 GR2000000049

X

n/a

All

148

25 August 2016 GR2000000056

X

n/a

All

149

02 June 2018 GR2000000031

X

n/a

All

150

12 August 2020 GR2000000015

X

n/a

All

151

13 July 2012 GR2000000106

X

n/a

All

152

16 September 2015 GR2000000072

X

n/a

All

153

03 February 2016 GR2000000080

X

n/a

All

154

09 August 2018 GR2000000098

X

n/a

All

155

05 May 2014 GR2000000221

X

n/a

All

156

22 June 2014 GR2000000239

X

n/a

All

157

12 August 2014 GR2000000304

X

n/a

All

158

20 December 2014 GR2000000247

X

n/a

All

159

24 March 2015 GR2000000254

X

n/a

All

160

30 June 2015 GR2000000262

X

n/a

All

161

25 April 2018 GR2000000270

X

n/a

All

162

16 May 2023 GR2000000296

X

n/a

All

163

18 May 2027 GR2000000288

X

n/a

All

164

18 July 2017 XS0308854149

A&O Ref No.

Maturity ISIN

141

165

26 March 2013 XS0354223827

0096820-0000032 ICM:14558837.2

To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined To be determined

No Incomplete documents Document(s) Received/Reviewed documentation received

Reliance on draft/ Document(s) Other unsigned/ Missing Comments extracted documents?

Governing Law of Notes

(a) Permanent Global Note

EUR 200,940,000 5.008% Guaranteed Notes due 2017

Athens Urban Transportation Organization (OASA)

English

EUR 240,000,000 5.008% Notes due 2013

Athens Urban Transportation Organization (OASA)

[English]

n/a (b) Deed of Guarantee dated 6 July 2007

16

X

n/a

All

07/03/2012

New Bonds Please find below a list of proposed Bonds which have not yet been issued but which have been submitted for review. A&O Ref No.

166

Maturity ISIN

2023 GR0128010676

Security Description

Issuer

Governing Law of Notes

No documents received

Incomplete documentation

Document(s) Received/Reviewed

Reliance on draft/ Document(s) unsigned/ Missing extracted documents?

Other Comments

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 167

2024 GR0128011682

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 168

2025 GR0128012698

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 169

2026 GR0128013704

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 170

2027 GR0128014710

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 171

2028 GR0133006198

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 172

2029 GR0133007204

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 173

2030 GR0133008210

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 174

2031 GR0133009226

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed

0096820-0000032 ICM:14558837.2

17

07/03/2012

New Bonds

175

2032 GR0133010232

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 176

2033 GR0138005716

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 177

2034 GR0138006722

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 178

2035 GR0138007738

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 179

2036 GR0138008744

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 180

2037 GR0138009759

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 181

2038 GR0138010765

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 182

2039 GR0138011771

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 183

2040 GR0138012787

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 184

2041 GR0138013793

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed 185

2042 GR0138014809

Invitation Memorandum dated 24 February 2012

The Hellenic English Republic

Form of Trust Deed

0096820-0000032 ICM:14558837.2

18

07/03/2012