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X/N Status: 1 (full X/N system)ISIN Asset Name Issuer Paying AgentIssuanceDateMaturityDateCurRateTypeInterestTermECBEligible(1)FixedRate %Haircut%Avg Rate%BE6275905055DB BNP PARIBASFORTIS NOTES A0200. BNP PARIBASFORTIS0200. BNPPARIBAS FORTIS03/02/2015 02/02/2016 EUR Float ACT/360 zcp ST Tier N na 0.185 %BE6275906061 TB CODRALUX 2348. CODRALUX S.A. 0401. KBC BANK 03/02/2015 10/02/2015 EUR Float ACT/360 zcp ST N 0.226 %BE6275907077TB PURATOS GROUP2203. PURATOS GROUPN.V.0401. KBC BANK 03/02/2015 10/02/2015 EUR Float ACT/360 zcp ST N 0.176 %BE6275908083 TB OCMW ANTWERPEN 2195. OCMW ANTWERPEN0830. BELFIUSBANK03/02/2015 03/03/2015 EUR Float ACT/360 zcp ST Tier N na 0.251 %BE6275909099 DB KBC BANK 0401. KBC BANK NV 0401. KBC BANK 03/02/2015 04/05/2015 USD Float ACT/360 zcp ST Tier N na 0.27 %BE6275910105TB TESSENDERLOCHEMIE2384. TESSENDERLOCHEMIE NV0200. BNPPARIBAS FORTIS03/02/2015 03/08/2015 EUR Float ACT/360 zcp ST N 0.382 %Page 173 of 196

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