NOTICE IS HEREBY GIVEN that the Company is exercising its call option pursuant to Condition 11(d) of the terms and conditions of the Notes (the "Conditions"), and will redeem the Notes in whole on 8 June 2026 in accordance with the Conditions.
Unless the context otherwise requires, capitalised terms defined in the Conditions shall have the same meanings when used herein.
Details of such redemption are set out below:
Redemption Date: 8 June 2026
Redemption Amount of each Note: EUR1,000 per Calculation Amount Calculation Amount: EUR1,000
Manner of Redemption: The Notes are being redeemed in whole
By: MITSUBISHI UFJ FINANCIAL GROUP, INC.
Dated: 8 May 2026

