Extraordinary Information
        			
        			2021. Nov 30. 11:38
        		
        		
        		
        			Author:
        			RCB AG
        			
        		
        		
    		    
        	The holders of the Structured Securities are hereby informed that in accordance with §11 of the Securities Terms of the Structured Securities the Issuer has determined on 30 June 2021 the Maturity Date as 30 June 2022 and the Redemption Date as 05 July 2022.