Zurich/Basel, 29 July 2019 – UBS announced its intention to redeem the total outstanding EUR 2.0bn Floating Rate Notes due September 2019 ISIN XS1673620107 (the "Notes") on 5 August 2019, the first optional redemption date. The Notes were issued by UBS AG, London Branch on 5 September 2017 and are listed on the Irish Stock Exchange.


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