Zurich, 23 October 2017 - UBS announced its intention to redeem the total outstanding EUR 600 million Fixed/Floating Rate Guaranteed Non-voting Non-cumulative Perpetual Preferred Securities (ISIN: XS0336744650) (the 'Notes') on 21 December 2017, the first optional redemption date. The Paying and Transfer Agent has been instructed to deliver the redemption notice to the holders of the Notes.

The Notes were issued by UBS Capital Securities (Jersey) Ltd on 21 December 2007 and are listed on the Irish Stock Exchange.

UBS Group AG published this content on 23 October 2017 and is solely responsible for the information contained herein.
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