NESTLÉ S.A.Debt Issuance Programme • May 28th, 2020 • England
Contract Type FiledMay 28th, 2020 JurisdictionThis Schedule contains the forms of Temporary Global Note, the Permanent Global Note, the Swiss Global Note, Definitive Bearer Note, Coupons, Talons, Terms and Conditions and the Swiss Definitive Note agreed between Nestlé Holdings, Inc. and Nestlé Finance International Ltd. (the “Issuers”), Nestlé S.A. as guarantor in respect of all Notes issued by Nestlé Finance International Ltd. and by Nestlé Holdings, Inc. (the “Guarantor”), Citibank, N.A., London Branch as issuing and principal paying agent (the “Agent”), Credit Suisse AG as paying agent (together with the Agent, the “Paying Agents”) and BNP Paribas, Citigroup Global Markets Europe AG, Citigroup Global Markets Limited, Credit Suisse Securities (Europe) Limited, Deutsche Bank Aktiengesellschaft, HSBC Bank plc, RBC Europe Limited, TD Global Finance unlimited company, The Toronto-Dominion Bank and UBS AG London Branch (together, the “Programme Dealers”) as envisaged in the Amended and Restated Agency Agreement dated 29 May 2020 betw