Schedule I to Annex I
Title[s] of the Purchased Notes:
[ %] [Floating Rate] Senior Medium-Term Notes, Series [ ], due 20[ ]
Aggregate Principal Amount[s]:
[$]
Terms of the Purchased Notes:
As set forth in the final term sheets attached as Schedule III hereto.
Price[s] to the Public:
[ ]% of the principal amount of the Purchased Notes, plus accrued interest[, if any,] [and accrued amortization[, if any,] from [ ], 20[ ]
Purchase Price[s] by Agents:
[ ]% of the principal amount of the Purchased Notes, plus accrued interest, if any, [and accrued amortization[, if any,] from [ ], 20[ ]
[Commission[s]:
[ ]% of the principal amount of the Purchased Notes]
Form of the Purchased Notes:
[Book-entry only form represented by one or more global securities deposited with The Depository Trust Company (“DTC”) or its designated custodian, to be made available for checking by a representative of the Agents at least twenty-four hours prior to the Time of Delivery at the office of the custodian.]
[Book-entry only form represented by a registered master global note deposited with The Depository Trust Company (“DTC”) or its designated custodian, to be made available for review by a representative of the Agents at least twenty-four hours prior to the Time of Delivery of the Purchased Notes at the office of the custodian.]
Specified Funds for Payment of Purchase Price:
Federal (same-day) funds
Time of Delivery:
[ ] a.m. (New York City time), on [ ], 20[ ]
Time of Sale:
[ ] [a.m.][p.m.] (New York City time), on [ ], 20[ ]
Time of Sale Information:
As set forth in Schedule II