Issuer call redemption notice to shareholders of Series 18 Xtrackers WTI Crude Oil Optimum Yield ETC

LONDON--()-- 

ISSUER CALL REDEMPTION NOTICE TO SECURITYHOLDERS

By

DB ETC Index plc
(the “Issuer”)

under its Secured ETC Index Linked Securities Programme
in relation to its

Series 18 Xtrackers WTI Crude Oil Optimum Yield ETC
(ISIN: GB00B3SC0P31)
(the “Securities” or the “Series 18”)

We hereby refer to the Securities issued by the Issuer and its Final Terms. This is an Issuer Call Redemption Notice in respect of the Securities.

Capitalised terms used herein shall have the meanings ascribed to them in the Master Terms and Conditions of the Securities (the “Terms and Conditions”) as set out in the Base Prospectus of the Issuer dated 21 April 2021.

The Issuer hereby gives notice, in accordance with Conditions 8(c) and 19 of the Terms and Conditions that it is electing to redeem all of the Securities. The Issuer hereby designates 17 September 2021 as the early redemption valuation date (the “Early Redemption Valuation Date”).

This constitutes an Issuer Call Redemption Event in respect of the Securities and, accordingly, the Securities will become due and payable on their Early Redemption Date in accordance with the Conditions.

As a result, the Securities will be delisted from the below Exchanges as of 13 September 2021 (the “Delisting Date”). Trading on the relevant stock exchanges will cease with effect from close of trading 10 September 2021 (the “Last Trading Date”).

Please see below for a summary of the information above:

Series

ISIN

Exchanges

Last Trading Date

Delisting Date

Series 18

GB00B3SC0P31

London Stock Exchange, Euronext Dublin and

SIX Swiss Exchange

10 September 2021

13 September 2021

A copy of this notice has also been delivered to the Swap Counterparty and each of the Transaction Parties.

Notices to Securityholders are validly delivered to the Clearing System(s) for communication by the Clearing System(s) to the Securityholders.

If you are not the ultimate beneficial holder in respect of the Securities, or if you have recently disposed of the Securities, please forward this notice to the ultimate beneficial holder or purchaser respectively.

Securityholders with queries relating to this notice may address them to the following email: Xtrackers@dws.com

Neither the contents of the Issuer's website nor the contents of any other website accessible from hyperlinks on the Issuer's website is incorporated into or forms part of this announcement.

DB ETC Index plc

Jersey, 15 July 2021

Category Code: MSCM
Sequence Number: 741424
Time of Receipt (offset from UTC): 20210715T090654+0100

Contacts

Deutsche Bank AG

Contacts

Deutsche Bank AG