NAV calculation following liquidation of exchange traded instruments (ETIs)

The following is corporate news issued by Goldstein Structured Products S.A. (the “Issuer”) in respect of
all and any ETIs which have been placed into liquidation.

The Board of Directors of the Company wishes to notify the investors of ETIs which have been put into
liquidation, that during the liquidation process in respect of each applicable ETI, the net asset value (NAV)
calculations of such ETI will no longer be carried out.

Additionally, given that the Board of Directors may in respect of certain ETIs being in the liquidation
process, decide to issue a buy-back programme, NAV calculations may be resumed for such purpose. In
any such case investors will be notified via the website