Notice to Holders

LONDON--()--

NOTICE TO HOLDERS OF

DB ETC INDEX plc (the “Issuer”)

Series 25 Up to 10,000,000 db Brent Crude Oil Booster ETC (EUR) Securities due 2061

issued under its Secured ETC Index Linked Securities Programme

ISIN: DE000A1KYN55

(the “Securities”)

relating to the issue of

Tranche   Date of Final Terms (the Final Terms”)

2

21 February 2012

3

27 February 2012

4

15 March 2012

5

2 April 2012

The Issuer has, with the consent of the Trustee, corrected certain manifest errors in the Final Terms for the Securities as of 13 November 2012. These are:

1. In respect of the Aggregate Number of ETC Securities ‘As at Series Issue Date’ at Part A, section 5 (i) on page 1 of the Final Terms the incorrect figure of 100,000 has been replaced with the correct figure of 950,000.

2. In respect of the Series Issue Date at Part A, section 7 (i) on page 2 of the Final Terms the incorrect date of 24 October 2011 has been replaced with the correct date of 13 May 2011.

3. In respect of the Date on which Board Approval for issuance of ETC Securities was obtained at Part A, section 7(iv) on page 2 of the Final Terms the incorrect date of 19 October 2011 has been replaced with the correct date of 12 May 2011.

4. In respect of the Scheduled Maturity Date at Part A, section 8 on page 2 of the Final Terms the incorrect date of 24 October 2061 has been replaced with the correct date of 13 May 2061.

The corrected Final Terms in respect of the Securities can be found at the website of the Issuer at www.etc.db.com.

Securityholders with queries relating to this notice or the corrected Final Terms may address them to the Arranger:

Email: info.dbetc@db.com

Hotline: +49 (0)69 910 82800 or +44 (0)20 754 57700

DB ETC Index plc

Jersey, 13 November 2012

Short Name: DB ETC
Category Code: MSC
Sequence Number: 351747
Time of Receipt (offset from UTC): 20121113T163219+0000

Contacts

Deutsche Bank AG

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Contacts

Deutsche Bank AG