Final Terms dated 2 July UniCredit Bank AG Issue of up to 100,000 Power Certificates linked to a basket of ETFs. under the

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1 Final Terms dated 2 July 2012 UniCredit Bank AG Issue of up to 100,000 Power Certificates linked to a basket of ETFs under the EUR 50,000,000,000 Debt Issuance Programm of UniCredit Bank AG DE000HV8AJ72 Terms used herein shall be deemed to be defined as such for the purposes of the Terms and Conditions of the Certificates (the "Conditions") set forth in the Prospectus dated 16 May 2012 (the "Prospectus") and the supplement to the Prospectus dated 13 June 2012 which together constitute a base prospectus for the purposes of the Prospectus Directive (Directive 2003/71/EC) (the "Prospectus Directive"). This document constitutes the Final Terms relating to the issue of Certificates described herein for the purposes of Article 5.4 of the Prospectus Directive and must be read in conjunction with such Prospectus as so supplemented. Full information on the Issuer and the offer of the Certificates is only available on the basis of the combination of these Final Terms and the Prospectus as so supplemeneted. The Prospectus as so supplemented is available for viewing at and during normal business hours at LCI4SS, Arabellastrasse 12, Munich, Germany and copies may be obtained from Via Tommaso Grossi 10, Milan, Italy. If provisions in these Final Terms are either not selected or deleted, the first provision shall be deemed to be applicable. All references in these Final Terms to paragraphs and subparagraphs are to paragraphs and subparagraphs of the Conditions. Part A: Terms and Conditions of the Instruments General Information 1. Form of Terms and Conditions: Not consolidated 2. Issuer: UniCredit Bank AG (i) Series Number: IT1432

2 (ii) Tranche Number: 1 3. Type of Instrument: Certificates Series, Form of Instruments, Issuance of Additional Instruments 4. Specified Currency Euro "EUR" 5. Number of Instruments: (i) Series: Up to 100,000 Certificates (ii) Tranche: Up to 100,000 Certificates 6. Issue Price: EUR 100 per Certificate 7. Specified Denomination: 8. Issue Date: 10 August (i) Interest Commencement Date: (ii) Final Interest Payment Date: 10. Maturity Date: 10 August Form of Instruments: No physical document of title will be issued to represent the Instruments. On issue, the Instruments will be registered in the books of Monte Titoli S.p.A. ("Monte Titoli", also referred to as the "Clearing System"). The Instruments will be held in bearer form on behalf of the relevant beneficial owner until settlement and cancellation thereof. 12. New Global Note form intended to be held in a manner which would allow Eurosystem eligibility: Definitions 13. Banking Day: TARGET2 14. Underlying or Basket Components Applicable (i) Basket as Underlying Applicable (ii) Shares as Underlying or Basket Component

3 (iii) Indices as Underlying or Basket Component (iv) Commodities as Underlying or Basket Component (v) (vi) Precious Metals as Underlying or Basket Component Futures Contracts as Underlying or Basket Component (vii) Currency Exchange Rates as Underlying or Basket Component 1 (viii) Bonds as Underlying or Basket Component (ix) Certificates as Underlying or Basket Component (x) (xi) Interest Rates as Underlying or Basket Component Fund shares or Exchange Traded Funds (ETFs)) as Underlying or Basket Component Sequential number of Basket Component: Name of the Fund: Share class: Description of Fund: Applicable 1 ishares MSCI Emerging Markets Index Fund Not applicable ishares MSCI Emerging Markets Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses of government bonds traded in emerging markets, as represented by the MSCI Emerging Markets. Internet web site: Reference Price: ISIN (other security codes): Reuters / Bloomberg (other financial information system): Means the closing price of the Fund on the Valuation Date. US RIC Reuters: EEM.P; Bloomberg code EEM UP Equity 1 If more than one currency exchange rates shall be specified as Basket Component, this paragraph and the respective sub-paragraphs shall be repeated accordingly.

4 Management Company: Fund Documents: Relevant Exchange: Determining Futures Exchange: BlackRock Fund Advisors current fact sheet and all other documents relating to this Basket Component specifying the conditions of the this Basket Component in their respectively valid version. The respectively valid version of the Fund Documents are available at the website (or at the respective websitereplacing such website). The information contained there is also available free of charge at the offices of UniCredit Bank AG, LCI4SS, Arabellastraße 12, Munich. NYSE Arca NYSE Basket weight: 20% (xi) Fund shares or Exchange Traded Funds (ETFs)) as Underlying or Basket Component Sequential number of Basket Component: Name of the Fund: Share class: Description of Fund: Applicable 2 ishares JPMorgan $EM Bond Fund ishares JPMorgan $ EM Bond Fund is an ETF that aims to track the performance of the JP Morgan Emerging Markets Bond Index Global Core as closely as possible. The index JP Morgan Emerging Markets Bond Index Global Core offer exposure to sovereign and almost sovereign bonds of emerging markets denominated in U.S. dollars. The index includes only bonds with a minimum remaining maturity of two years and a minimum amount outstanding of a billion. Website: Reference Price: ISIN (other security codes): Reuters / Bloomberg (other financial information system): Management Company: Means the closing price of the Fund on the Valuation Date. IE00B2NPKV68 RIC Reuter:s IEMB.L; Bloomberg code: IEMB LN Equity BlackRock Advisors UK Ltd

5 Fund Documents: Relevant Exchange: Determining Futures Exchange: current fact sheet and all other documents relating to this Basket Component specifying the conditions of the this Basket Component in their respectively valid version. The respectively valid version of the Fund Documents are available at the website (or at the respective websitereplacing such website). The information contained there is also available free of charge at the offices of UniCredit Bank AG, LCI4SS, Arabellastraße 12, Munich. London Stock Exchange Basket weight: 10 % (xi) Fund shares or Exchange Traded Funds (ETFs)) as Underlying or Basket Component Sequential number of Basket Component: Name of the Fund: Share class: Description of Fund: Applicable 3 ishares FTSE China 25 Index Fund ishares FTSE China 25 Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the FTSE China 25. Reference Price: Website: Means the closing price of the Fund on the Valuation Date. ISIN (other security codes): Reuters / Bloomberg (other financial information system): Management Company: Fund Documents: US RIC Reuters: FXI.P; Bloomberg code: FXI UP Equity BlackRock Fund Advisors current fact sheet and all other documents relating to this Basket Component specifying the conditions of the this Basket Component in their respectively valid version. The respectively valid version of the Fund Documents are available at the website

6 (or at the respective websitereplacing such website). The information contained there is also available free of charge at the offices of UniCredit Bank AG, LCI4SS, Arabellastraße 12, Munich. Relevant Exchange: Determining Futures Exchange: NYSE Arca NYSE Basket weight: 15 % (xi) Fund shares or Exchange Traded Funds (ETFs)) as Underlying or Basket Component Sequential number of Basket Component: Name of the Fund: Share class: Description of Fund: Applicable 4 ishares MSCI South Corea Index Fund ishares MSCI South Corea Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the securities listed in the South Korean market, as measured by the ishares MSCI South Corea Index. Website : Reference Price: ISIN (other security codes): Reuters / Bloomberg (other financial information system): Management Company: Fund Documents: Means the closing price of the Fund on the Valuation Date. US RIC Reuters: EWY.P; Bloomberg code: EWY UP Equity BlackRock Fund Advisors current fact sheet and all other documents relating to this Basket Component specifying the conditions of the this Basket Component in their respectively valid version. The respectively valid version of the Fund Documents are available at the website (or at the respective websitereplacing such website). The information contained there is also available free of charge at the offices of UniCredit Bank AG, LCI4SS,

7 Arabellastraße 12, Munich. Relevant Exchange: Determining Futures Exchange: NYSE Arca NYSE Basket weight: 14 % (xi) Fund shares or Exchange Traded Funds (ETFs)) as Underlying or Basket Component Sequential number of Basket Component: Name of the Fund: Share class: Description of Fund: Applicable 5 ishares MSCI Brazil Index Fund ishares MSCI Brazil seeks to provide investment results that match the price and yield performance, before fees and expenses, of listed securities in the Brazilian market, as measured by the MSCI Brazil. Reference Price: ISIN (other security codes): Reuters / Bloomberg (other financial information system): Management Company: Fund Documents: Relevant Exchange: Determining Futures Exchange: Website: Means the closing price of the Fund on the Valuation Date. US RIC Reuters: EWZ.P; Bloomberg code: EWZ UP Equity BlackRock Fund Advisors current fact sheet and all other documents relating to this Basket Component specifying the conditions of the this Basket Component in their respectively valid version. The respectively valid version of the Fund Documents are available at the website (or at the respective websitereplacing such website). The information contained there is also available free of charge at the offices of UniCredit Bank AG, LCI4SS, Arabellastraße 12, Munich. NYSE Arca NYSE Basket weight: 12 %

8 (xi) Fund shares or Exchange Traded Funds (ETFs)) as Underlying or Basket Component Sequential number of Basket Component: Name of the Fund: Applicable 6 ishares MSCI Taiwan Index Fund Share class: Description of Fund: ishares MSCI Taiwan Index Fund seeks to provide investment results that correspond generally to the price and yield performances, before fees and expenses, of the securities listed in the Taiwan market, as measured by the MSCI Taiwan Index Fund. Website: Reference Price: Means the closing price of the Fund on the Valuation Date: ISIN (other security codes): Reuters / Bloomberg (other financial information system): Management Company: Fund Documents: Relevant Exchange: Determining Futures Exchange: US RIC Reuters: EWT.P; Bloomberg code: EWT UP Equity BlackRock Fund Advisors current fact sheet and all other documents relating to this Basket Component specifying the conditions of the this Basket Component in their respectively valid version. The respectively valid version of the Fund Documents are available at the website (or at the respective websitereplacing such website). The information contained there is also available free of charge at the offices of UniCredit Bank AG, LCI4SS, Arabellastraße 12, Munich. NYSE Arca NYSE Basket weight: 10 % (xi) Fund shares or Exchange Traded Funds (ETFs)) as Underlying or Basket Component Applicable

9 Sequential number of Basket Component: Name of the Fund: Share class: Description of Fund: Reference Price: 7 ishares MSCI South Africa Index Fund ishares MSCI South Africa Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the securities listed in the South African market, as measured by the ishares MSCI South Africa. Website: Means the closing price of the Fund on the Valuation Date. ISIN (other security codes): Reuters / Bloomberg (other financial information system): Management Company: Fund Documents: Relevant Exchange: Determining Futures Exchange: US RIC Reuters: EZA.P; Bloomberg code: EZA UP Equity BlackRock Fund Advisors current fact sheet and all other documents relating to this Basket Component specifying the conditions of the this Basket Component in their respectively valid version. The respectively valid version of the Fund Documents are available at the website (or at the respective websitereplacing such website). The information contained there is also available free of charge at the offices of UniCredit Bank AG, LCI4SS, Arabellastraße 12, Munich. NYSE Arca NYSE Basket weight: 5 % (xi) Fund shares or Exchange Traded Funds (ETFs)) as Underlying or Basket Component Sequential number of Basket Component: Name of the Fund: Applicable 8 Wisdomtree India Earnings South Fund

10 Share class: Description of Fund: WisdomTree India Earnings Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the WisdomTree India Earnings Index. Web site: Reference Price: ISIN (other security codes): Reuters / Bloomberg (other financial information system): Management Company: Fund Documents: Relevant Exchange: Determining Futures Exchange: Means the closing price of the Fund on the Valuation Date. US97717W4226 RIC Reuters: EPI.P; Bloomberg code: EPI UP Equity WisdomTree Asset Management Inc current fact sheet and all other documents relating to this Basket Component specifying the conditions of the this Basket Component in their respectively valid version. The respectively valid version of the Fund Documents are available at the website (or at the respective websitereplacing such website). The information contained there is also available free of charge at the offices of UniCredit Bank AG, LCI4SS, Arabellastraße 12, Munich. NYSE Arca NYSE Basket weight: 5 % (xi) Fund shares or Exchange Traded Funds (ETFs)) as Underlying or Basket Component Sequential number of Basket Component: Name of the Fund: Share class: Description of Fund: Applicable 9 Market Vectors Russia ETF Market Vectors Russia ETF seeks to replicate, as closely as possible, prices and yield performances, before fees and expenses, of the index Market Vectors Russia, based and reweighed on market capitalization, designed to give investors exposure

11 to the Russian market. Website : Reference Price: Means the closing price of the Fund on the Valuation Date. ISIN (other security codes): Reuters / Bloomberg (other financial information system): Management Company: Fund Documents: Relevant Exchange: Determining Futures Exchange: US57060U5065 RIC Reuters: RSX.P; Bloomberg code: RSX UP Equity Van Eck Associates Corporation current fact sheet and all other documents relating to this Basket Component specifying the conditions of the this Basket Component in their respectively valid version. The respectively valid version of the Fund Documents are available at the website (or at the respective websitereplacing such website). The information contained there is also available free of charge at the offices of UniCredit Bank AG, LCI4SS, Arabellastraße 12, Munich. NYSE Arca NYSE Basket weight: 5 % (xi) Fund shares or Exchange Traded Funds (ETFs)) as Underlying or Basket Component Sequential number of Basket Component: Name of the Fund: Share class: Description of Fund: Applicable 10 ishares MSCI Mexico Investable Market Index Fund ishares MSCI Mexico Investable Market Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the securities listed in the Mexican market, as measured by the ishares MSCI Mexico Investable Market.

12 Website: Reference Price: Means the closing price of the Fund on the Valuation Date. ISIN (other security codes): Reuters / Bloomberg (other financial information system): Management Company: Fund Documents: Relevant Exchange: Determining Futures Exchange: US RIC Reuters: EWW.P; Bloomberg code: EWW UP Equity BlackRock Fund Advisors current fact sheet and all other documents relating to this Basket Component specifying the conditions of the this Basket Component in their respectively valid version. The respectively valid version of the Fund Documents are available at the website (or at the respective websitereplacing such website). The information contained there is also available free of charge at the offices of UniCredit Bank AG, LCI4SS, Arabellastraße 12, Munich. NYSE Arca NYSE Basket weight: 4 % (xii) Reference Loan as Underlying 15. Definitions for Instruments with underlying-linked Interest Rates and/or Redemption Ratio and Participation Factor Applicable Applicable (i) Ratio: Rounding of the Ratio: (ii) Participation Factor: 80% Rounding of the Participation Factor: upwards 16. Observation/Valuation Dates Applicable (i) Observation Date (initial): (ii) Observation Date(s) :

13 (iii) Observation Date (final): (iv) Valuation Date: 10 August 2015 (v) Final Valuation Date: Business Day Convention for thevaluation Date: Reference Prices Following Business Day Convention Means the Underlying Value on the Valuation Date.( Basket Reference Price ) In particular, Underlying Value shall be calculated as follows: 10 T ETFi Underlying Value = Weighti 0 ETF i 1 i where T " ETF i " means the closing price of the i-th Fund on the Valuation Date. 0 " ETF i " means the closing price of the i-th Fund on the Fixing Date. Fixing Date means 9 August i means Sequential number of Basket Component Observation Periods Minimum or Maximum Amounts Applicable (i) Minimum Amount: (ii) Maximum Amount: (iii) Bonus Amount: Thresholds / Barriers Applicable (i) Strike(s): 100% (ii) Bonus Level(s): (iii) Cap Level(s): (iv) Barrier Level(s): 70% (v) Reverse Level(s): (vi) Protection Level(s):

14 (vii) Knock-out Barrier(s): (viii) Stop-Loss Barrier(s): (ix) Lower Barrier(s): (x) Upper Barrier(s): (xi) Early Redemption Level(s): Events Interest, Additional Amount 18. Provisions relating to floating rate Instruments 19. Provisions relating to Zero Coupon Instruments 20. Provisions relating to Dual Currency Instruments 21. Provisions relating to Instruments with Additional Amounts 22. Provisions relating to Instruments with a Reference Loan or a bond with special regulations for the Reference Entity with or without a currency risk as Underlying or Basket Component 23. Other provisions relating to Interests and Additional Amounts Maturity, Automatic Early Redemption, Redemption Amount, Deliveries, Optional Redemption at the Option of the Issuer (Call Option), Optional Redemption at the Option of the Instrumentholders (Put Option), Extension of Lifetime, Exercise Right, Exercise Period, Differencial Amount, Exercise Amount, if applicable 24. (i) Redemption Basis: Redemption by payment of an underlying-linked Redemption Amount (ii) Redemption: per Certificate 25. Provisions relating to Instruments with Automatic Early Redemption 26. Provisions relating to underlying-linked Redemption Redemption by payment of an underlying-linked Redemption Amount (further particulars specified below) Applicable Applicable (i) Redemption Amount: Subject to the Conditions of the Certificates and

15 these Final Terms, the Issuer will pay the Redemption Amount to the Certificateholders in the Specified Currency. The Redemption Amount shall be determined by the Calculation Agent on the Valuation Date as follows: 1. If the Basket Reference Price is equal to or higher than the Strike, the Redemption Amount will be: Redemption Amount = EUR 100 * [1 + Participation * (Basket Reference Price/Strike 1 )] 2. If the Basket Reference Price is lower than the Strike, but higher than or equal to the Barrier Level, the Redemption Amount will be EUR If the Basket Reference Price is lower than the Barrier Level, the Redemption Amount will be calculated in accordance with the following formula: Redemption Amount = EUR 100 x Basket Reference Price/Strike (ii) Currency of the Redemption Amount: Redemption by payment of an underlying-linked Redemption Amount and/or physical delivery Redemption by physical delivery Redemption by payment of a [Differential Amount] [Exercise Amount] Optional Redemption at the Option of the Issuer (Call-Option) Provisions for Notes or Certificates Provisions for Warrants Optional Redemption at the Option of the Instrumentholder (Put-Option) Provisions for Notes or Certificates Provisions for Warrants Euro 27. Provisions for a knock-out

16 28. Redemption provisions in the case of a Reference Loan or a Bond with special regulations for the Reference Entity with or without currency risk Redemption provisions in the case of a Reference Loan as Underlying: Redemption provisions in the case of a Bond with special regulations for the Reference Entity without currency risk: Redemption provisions in the case of a Bond with special regulations for the Reference Entity with currency risk: 29. Provisions for Zero Coupon Instruments 30. Provisions for Instruments with an Option to extend the Lifetime Adjustments, Issuer's Irregular Call Right, Replacement Determination 31. Adjustment provisions: Provisions 6 ( Adjustments ) of the Terms and Conditions shall be read as follow: (1) The basis for the calculation or specification of the Redemption Amount shall be the respective Basket Component with its rules applicable from time to time, as developed and continued by the respective Management Company, as well as the Reference Price of the respective Basket Component as published by the Relevant Exchange, unless otherwise provided in below provisions. (2) A "ETF Adjustment Event" occurs, if (a) a Fund Event occurs, (b) the suspension of or failure to calculate and/or the non-publication of the NAV on the Fixing or Valuation Date. (c) the suspension or restriction of trading in a Derivative linked to a Basket Component and traded on the respective Determining Futures Exchange, (d) the early termination of the there traded Derivatives linked to a Basket Component by the relevant Determining Futures Exchange, (e) the adjutment of the there traded

17 Derivatives linked to a Basket Component by the respective Determining Futures Exchange (f) an event occurs which is economically equivalent to one of the above-mentioned events with regard to its consequences on a Basket Component. (3) Upon the occurrence of a ETF Adjustment Event the Calculation Agent shall in its reasonable discretion, if necessary, adjust the method for the calculation or specification of the Redemption Amount, so that the economic situation of the Certificateholders remains unchanged to the largest extent possible. Any adjustment will be made by the Calculation Agent taking into account the remaining term of the Certificates and the latest available Reference Price of the respective Basket Component. If the Calculation Agent determines that, pursuant to the rules of the relevant Determining Futures Exchange, no adjustments are made to the Derivatives linked to the respective Basket Component, the Terms and Conditions of the Certificates will regularly remain unchanged. The adjusted method for the calculation or specification of the Redemption Amount and the time of its initial application shall be published in accordance with 42. In the context of such an adjustment the Calculation Agent is in particular entitled to: (a) replace the respective Basket Component by its Benchmark(s), or an equivalent ETF, or (b) replace the respective Basket Component in the reasonable discretion of the Calculation Agent by a comparable exchange traded fund (the "Replacement Fund"), or (c) adjust each provision of the Certificates the adjustment of which is suitable in order to compensate for the economic effects of the ETF Adjustment Event. (d) (i)adjust the method for the calculation or specification of the Redemption Amount and/or (ii) determine, that the Certificates shall be redeemed on the Maturity Date at the Cash Value of the Redemption Price (as defined in 8). (4) In the event that a Basket Component is no longer managed by the respective Management Company but by another person, company or

18 institution (the "New Management Company"), each and every reference to the Management Company contained herein shall be deemed, depending on the context, as referring to the New Management Company. (5) In the event that (a) an adjustment pursuant to paragraph (3) is not possible or not justifiable with regard to the Issuer and/or the Certificateholders, (b) the quotation of a Basket Component at the respective Relevant Exchange is finally discontinued and in the reasonable discretion of the Calculation Agent no Substitute Relevant Exchange could be determined or is available, or (c) the calculation and publication of a Basket Component is finally discontinued and in the reasonable discretion of the Calculation Agent no Replacement Fund could be determined or is available, or (d) a Change in Law and/or a Hedging Disruption and/or Increased Cost of Hedging (all as defined in 2) occurs, (in each case a "Termination Event"), the Issuer is entitled to terminate the Certificates early by giving notice pursuant to section 42 and to repay the Certificates at their "Cancellation Amount". Such termination shall become effective at the time of the notice pursuant to section 42 or at the time indicated in the notice. In that case, the Calculation Agent shall within ten Banking Days before the termination becomes effective determine in its reasonable discretion the reasonable market value of the Certificates. The Cancellation Amount will be published pursuant to section 42 and be paid pursuant to the provisions in 8 to the Clearing System or to its order with the instruction for immediate forwarding to the Certificateholders. (6) If a price of a Basket Component published by the respective Management Company and which is used by the Calculation Agent as the basis for the calculation or specification of the Redemption Amount is subsequently corrected and the correction (the "Corrected Value") is published by the respective Management Company after the original publication, but still within one

19 Settlement Cycle prior to the Valuation Date, then the Calculation Agent will notify the Issuer of the Corrected Value as soon as reasonably practicable and shall again specify and publish pursuant to 42 the relevant value (the "Replacement Determination") by using the Corrected Value. Market Disruptions 32. Market Disruption provisions: Provisions 7 ( Market Disruption ) of the Terms and Conditions shall be read as follow: (1) Notwithstanding the conditions of 6 above, if a Market Disruption occurs on the Valuation Date and/or the Fixing Date, the Valuation Date and/or the Fixing Date will be postponed to the next following Banking Day on which the Market Disruption no longer exists. Any payment date relating to such Valuation Date and/or the Fixing Date shall be postponed accordingly if applicable. No interest is due because of such postponement. (2) Should the Market Disruption continue for more than one Banking Day in relation to the Fixing Date, and/or eight consecutive Banking Days in relation to the Valuation Date, the Issuer, in its reasonable discretion shall determine, or cause the Calculation Agent to determine in its reasonable discretion, the Reference Price. The Reference Price, required for the calculation or specification of the Redemption Amount shall be determined in accordance with prevailing market conditions around 10:00 a.m. (Milan local time) on this second and/or ninth Banking Day on the basis of the last such Reference Price immediately prior to the occurrence of the Market Disruption available to the Issuer or the Calculation Agent, taking into account the economic position of the Certificateholders. If within these 8 Banking Days traded derivatives linked to the Underlying expire and are paid on the Determining Futures Exchange, the settlement price established by the Determining Futures Exchange for the there traded Derivatives will be taken into account in calculating or specifying the Redemption Amount. In that case, the expiration date for

20 those Derivatives will be taken as the Valuation Date. "Market Disruption" means: (a) the failure of the Relevant Exchange to open for trading during its regular trading sessions or (b) the suspension or restriction of trading in one or more of the Basket Components on the Relevant Exchange or (c) in general the suspension or restriction of trading in a Derivative linked to one or more of the Basket Components on the Determining Futures Exchange Payments / Deliveries 33. Payment of the: Redemption Amount: Early Redemption Amount: Optional Redemption Amount: Put Amount: Cancellation Amount: Interest Amount: Termination Amount: Additional Amount: Further amounts: Five Banking Days following the Valuation Date Five Banking Days following the date of the notice pursuant to 6 (3) or, as the case may be, the date of the early termination specified in such notice. 34. Business Day Convention: Following Business Day Convention Adjustment: Yes 35. Rounding: Up or down to the nearest 0,01 Euro, with Euro being rounded upwards 36. Details relating to instalment Instuments:

21 amount of each instalment, date(s) on which each payment is to be made: Principal Paying Agent, Paying Agent, Calculation Agent 37. Principal Paying Agent: UniCredit Bank AG 38. Additional Paying Agent(s): UniCredit Bank AG 39. Calculation Agent: UniCredit Bank AG Taxes 40. Gross up: Status 41. Status of the Instruments: Unsubordinated Notices 42. Website: Other manner for notices: Applicable Law, Place of Performance, Place of Jurisdiction, Language 44. Applicable law: Italian law 45. Place of performance: Milan 46. Place of jurisdiction: Milan 47. Language of Terms and Conditions: English only Trading on Italian regulated and unregulated markets Applicable 48. Waiver Right of the Instrumentholder: Applicable (i) Waiver Date: The Waiver Date is the first Banking Day following the Valuation Date. (ii) Relevant Financial Centre: Milan (iii) Minimum Unit: 1 Certificate. Amendments to Terms and Conditions 49. Amendments to Terms and Conditions

22 Further provisions 50. Redenomination, renominalization and reconventioning provisions: 51. Other terms or special conditions: ABSCHNITT B: OTHER INFORMATION Distribution 52. Method of distribution: Not syndicated (a) Date of subscription agreement: (b) Stabilizing manager(s) (if any): (ii) Name and address of Dealer: Fineco Bank S.p.A., with registered office at Piazza Durante 11, Milano 53. Each Dealer Manager and/or financial intermediary appointed by such Dealer Manager placing or subsequently reselling the Instruments is entitled to use and to rely upon the Prospectus. The Prospectus may only be delivered to potential investors together with all supplements published before the respective date of such delivery. Any supplement to the Prospectus is available for viewing in electronic form on the website of the Issuer. When using the Prospectus, each Dealer Manager and/or relevant financial intermediary must ensure that it complies with all applicable laws and regulations in force in the respective jurisdiction at the time. 54. Total commission and concession: The Issue Price comprises the following commissions: a structuring commission for the Issuer, UniCredit Bank AG, equal to 0.85% of the Issue Price, a placement commission for the Dealers, equal to 3.00% of the Issue Price, and other structuring charges for the Issuer equal to 0.50% of the Issue Price. Therefore, having an Issue Price of EUR 100;- and the derivative component value as determined on 20 June 2012, such Issue Price may be also illustrated as follows:

23 Derivati ve compon ent Structurin g commissi on Placemen t commissi on Other charg es Issue Price (A) (B) (C) (D) (E=A+ B+C+ D) EUR EUR 0.85 EUR 3.00 EUR 0.50 EUR Notification: Applicable In case of disinvestment the day after the Issue Date, the presumable value at which the Certificateholders may liquidate the Certificate is EUR (please see the 59) with the same market conditions as on 20 June The Bundesanstalt für Finanzdienstleistungsaufsicht (BaFin) has provided the Commissione Nazionale per le Società e la Borsa (CONSOB) with a certificate of approval attesting that the Prospectus has been drawn up in accordance with the Prospectus Directive. 56. U.S. selling restrictions: Reg. S, TEFRA C 57. Additional selling restrictions: 58. Additional tax disclosure: Listing 59. Listing Applicable The Certificates are not eligible for sale in the U.S and cannot be offered or sold for the account or benefit of U.S persons (i) Listing: Application will be made for listing the Certificates on the EuroTLX (MTF) managed by EuroTLX SIM S.p.A., within two months from the Issue Date. (ii) Admission to trading: Application will be made for the Certificates to be admitted to trading on the EuroTLX (MTF) managed by EuroTLX SIM S.p.A. The Issuer (also the "Market Maker") undertakes to provide liquidity through bid and offer quotes in accordance with the market making rules of EuroTLX (MTF), where the Certificates are expected to be listed. The obligations of the Market Maker are regulated by the rules of the markets

24 organized and managed by EuroTLX SIM S.p.A., and the relevant instructions to such rules. Ratings (iii) Estimate of total expenses related to admission to trading: (iv) Entities which have a firm commitment to act as intermediaries in secondary trading, providing liquidity through bid and offer rates: Moreover, the Issuer has undertaken to apply, in normal market conditions, a spread between bid and offer quotes not higher than 1%. UniCredit Bank AG, in accordance with the market making rules of EuroTLX 60. Issuer Ratings A3 Moody s / A S&P / A+ Fitch Interests of natural and legal persons involved in the issue or offer, as the case may be: 61. Interests of natural and legal persons involved in the issue or offer, as the case may be: The Issuer and the Dealer have a conflict of interest with the Certificateholders of the Certificates with regard to the offer of the Certificates, due to their respective roles in the issue and offer of the Certificates and as they both belong to the same UniCredit Banking Group. In particular, the Issuer is also the arranger and the Calculation Agent of the Certificates. Moreover, the Issuer shall also act as the Responsabile del Collocamento (as defined by article 93-bis of Legislative Decree 58/1998) of the Certificates. With regard to trading of the Certificates the Issuer has a conflict of interest being also the Market Maker on the Multilateral Trading Facility EuroTLX ; moreover the Multilateral Trading Facility EuroTLX is organized and managed by EuroTLX SIM S.p.A., a company in which UniCredit S.p.A., the Holding Company of UniCreditI Banking Group as the Issuer - has a stake in. Lastly, the Dealer shall receive from the Issuer an implied placement commission comprised in the Issue Price and the Issuer shall receive an implied commission for the structuring and other charges in relation to the maintenance of the offer conditions comprised in the Issue Price. For details please see section 54.

25 Reasons for the offer / Estimated net proceeds / Estimated total expenses: 2 Applicable 62. (i) Reasons for the offer: See "General Information - Use of Proceeds and reasons for the offer" in the Prospectus. Yield (ii) Estimated net proceeds: (iii) Estimated total expenses: 63. Indication of yield: Not applicable 64. Method of calculating the yield: Information on the Underlying Applicable 65. Performance of, and other information concerning the Underlying 66. Details relating to the performance of the Underlyingand the explanation of the effect on the value of the Instruments: Operational Information As specified in Annex I to these Final Terms. As specified in Annex III to these Final Terms. 67. (i) ISIN: DE000HV8AJ72 (ii) WKN: HV8AJ7 (iii) Common Code: (iv) Other relevant security codes: (v) Delivery: Delivery free of payment (vi) Dealer's / Lead Manager's security account number: Terms and conditions of the offer 3 Monte Titoli account Terms and conditions of the offer: The Dealers are in charge of the placement of the Certificates. The Issuer is the Responsabile del Collocamento, as defined in article 93-bis of Legislative Decree 58/98 (as subsequently amended and supplemented). The Offer Period starts on 3 July 2012 and closes on the 7 August 2012.

26 Risk Factors Subscription orders are irrevocable, except for what provided for the door to door selling, in relation to which the subscription orders will be accepted starting from 3 July 2012 to 31 July 2012, and for what provided for the long distance technique selling, in relation to which will be accepted starting from 3 July 2012 to 24 July 2012 unless closed in advance and without previous notice and will be satisfied within the limits of the maximum number of Certificates on offer. The Issuer reserves the right to withdraw from the offer until the Issue Date at unquestionable discretion whereby all subscription requests of the Certificates shall be considered void and without any effect and the issue of the Certificates shall no longer take place. The Issuer also reserves the right to early terminate the Offer Period, as defined above, (so that no further subscription requests shall be accepted following early termination of the Offer Period), regardless of whether all available Certificates have been subscribed or not, or to delay the Offer Period, at its unquestionable discretion. Certificates can be placed by the relevant dealer through door to door selling (through financial sales agents, pursuant to the Articles 30 and 31 of the Legislative Decree 24 February 1998, n. 58) or through long distance tecnique selling (pursuant to the Article 67-duodecies, Par. 4 of the Legislative Decree 6 September 2005, n. 206). Therefore, the effects of the subscription agreements will be suspended for seven days, with reference to those door to door selling, and for fourteen days, with reference to long distance tecnique selling, from the date of the subscription by the investors. Within such terms, the investor can withdraw by means of a notice to the financial promoter or the Distributors without any liability, expenses or other fees. The number of Certificates on offer is up to a maximum of 100,000 Certificates. No specific allocation method is established. Subscription requests shall be satisfied by the relevant office in a chronological order and within the limits of the available amount. The offer is for Italian residents only and is made in Italy exclusively. 69. Additional risk factors relating to the In addition to the Risk Factors in the binding

27 calculation method of underlying-linked amounts or to the applicable Underlying, as the case may be: langugage to which reference is made herewith, the following risk factors annexed hereto (Please see Annex II) should be considered with respect to the Insruments that are subject to these Final Terms 70. Binding language of the Risk Factors: The English version of the Risk Factors (see Risk Factors (English Version)) of this Document shall be the binding version with regard to the Instruments described herein (with a non-binding German translation thereof, see Risikofaktoren (Deutsche Fassung)). 71. Limitation of the free transferability of the Instruments: Additional Information 72. Additional information: RESPONSIBILITY The Issuer accepts responsibility for the information contained in these Final Terms. The information included in Annex I ("Information about the ETFs ") has been extracted from the relevant website of the relevant Bloomberg pages and is not necessary the latest information available. The Issuer confirms that such information has been accurately reproduced and that, so far as it is aware, and is able to ascertain from information published by the respective ETFs Issuer (see Annex II), no facts have been omitted which would render the reproduced inaccurate or misleading. UniCredit Bank AG

28 Basket Composition Annex I Information about the ETFs i Weight Reuters Code Bloomberg Code Name of the ETF ISIN Code 1 20% EEM.P EEM UP Equity ishares MSCI Emerging Markets Index Fund US % IEMB.L IEMB LN Equity ishares JPMorgan $ EM Bond Fund IE00B2NPKV % FXI.P FXI UP Equity ishares FTSE China 25 Index Fund US % EWY.P EWY UP Equity ishares MSCI South Corea Index Fund US % EWZ.P EWZ UP Equity ishares MSCI Brazil Fund US % EWT.P EWT UP Equity ishares MSCI Taiwan Index Fund US % EZA.P EZA UP Equity ishares MSCI South Africa Index Fund US % EPI.P EPI UP Equity Wisdomtree India Earnings Fund US97717W % RSX.P RSX UP Equity Market Vectors Russia ETF US57060U % EWW.P EWW UP Equity ishares MSCI Mexico Investable Market Index Fund US ETFs Description Name of the ETF Management Company Relevant Exchange Description of the ETF Availability of information (i) bloomberg page (ii) reuters code ishares MSCI Emerging Markets Index Fund BlackRock Fund Advisors NYSE Arca ishares MSCI Emerging Markets Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses of government bonds traded in emerging markets, as represented by the MSCI Emerging Markets. EEM UP Equity EEM.P

29 (iii) website Reference Currency of ETF USD Name of the ETF Management Company Relevant Exchange ishares JPMorgan $ EM Bond Fund BlackRock Advisors UK Ltd London Stock Exchange ishares JPMorgan $ EM Bond Fund is an ETF that aims to track the performance of the JP Morgan Emerging Markets Bond Index Global Core as closely as possible. The index JP Morgan Emerging Markets Bond Index Global Core offer exposure to sovereign and almost sovereign bonds of emerging markets denominated in U.S. dollars. The index includes only bonds with a minimum remaining maturity of two years and a minimum amount outstanding of a billion. Availability of information

30 (i) bloomberg page (ii) reuters code (iii) website Reference Currency of ETF IEMB LN Equity IEMB.L USD Name of the ETF Management Company Relevant Exchange Descrizione dell'etf Availability of information (i) bloomberg page (ii) reuters code (iii) website Reference Currency of ETF ishares FTSE China 25 Index Fund BlackRock Fund Advisors NYSE Arca ishares FTSE China 25 Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the FTSE China 25. FXI UP Equity FXI.P USD

31 Name of the ETF Management Company Relevant Exchange Descrizione dell'etf Availability of information (i) bloomberg page (ii) reuters code (iii) website Reference Currency of ETF ishares MSCI South Corea Index Fund BlackRock Fund Advisors NYSE Arca ishares MSCI South Corea Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the securities listed in the South Korean market, as measured by the ishares MSCI South Corea Index. EWY UP Equity EWY.P USD

32 Name of the ETF Management Company Relevant Exchange Descrizione dell'etf Availability of information (i) bloomberg page (ii) reuters code (iii) website Reference Currency of ETF ishares MSCI Brazil Fund BlackRock Fund Advisors NYSE Arca ishares MSCI Brazil seeks to provide investment results that match the price and yield performance, before fees and expenses, of listed securities in the Brazilian market, as measured by the MSCI Brazil. EWZ UP Equity EWZ.P USD

33 Name of the ETF Management Company Relevant Exchange Descrizione dell'etf Availability of information (i) bloomberg page (ii) reuters code ishares MSCI Taiwan Index Fund BlackRock Fund Advisors NYSE Arca ishares MSCI Taiwan Index Fund seeks to provide investment results that correspond generally to the price and yield performances, before fees and expenses, of the securities listed in the Taiwan market, as measured by the MSCI Taiwan Index Fund. EWT UP Equity EWT.P (iii) website Reference Currency of ETF USD

34 Name of the ETF Management Company Relevant Exchange Descrizione dell'etf Availability of information (i) bloomberg page (ii) reuters code (iii) website Reference Currency of ETF ishares MSCI South Africa Index Fund BlackRock Fund Advisors NYSE Arca ishares MSCI South Africa Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the securities listed in the South African market, as measured by the ishares MSCI South Africa. EZA UP Equity EZA.P USD

35 Name of the ETF Management Company Relevant Exchange Descrizione dell'etf Availability of information (i) bloomberg page (ii) reuters code (iii) website Reference Currency of ETF Wisdomtree India Earnings Fund WisdomTree Asset Management Inc NYSE Arca WisdomTree India Earnings Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the WisdomTree India Earnings Index. EPI UP Equity EPI.P USD

36 Name of the ETF Management Company Relevant Exchange Descrizione dell'etf Availability of information (i) bloomberg page (ii) reuters code (iii) website Reference Currency of ETF Market Vectors Russia ETF Van Eck Associates Corporation NYSE Arca Market Vectors Russia ETF seeks to replicate, as closely as possible, prices and yield performances, before fees and expenses, of the index Market Vectors Russia, based and reweighed on market capitalization, designed to give investors exposure to the Russian market. RSX UP Equity RSX.P USD

37 Name of the ETF Management Company Relevant Exchange Descrizione dell'etf Availability of information (i) bloomberg page (ii) reuters code (iii) website Reference Currency of ETF ishares MSCI Mexico Investable Market Index Fund BlackRock Fund Advisors NYSE Arca ishares MSCI Mexico Investable Market Index Fund seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the securities listed in the Mexican market, as measured by the ishares MSCI Mexico Investable Market. EWW UP Equity EWW.P USD

38 The issuer of the ETFs is subject to disclosure requirements to both the competent local authorities and the investors. The price, historical trend and volatility are indicated in the following graphs (source: Bloomberg).

39 Annex II Before deciding to buy the Instruments described in these Final Terms, investors should carefully read these printed Final Terms, the Prospectus, together with any relevant supplements, and the Registration Document. The risk factors stated on pages 69 ff of the Prospectus and pages 3 ff of the Registration Document, to which reference is hereby made and which should be carefully read by potential investors before taking any investment decision, apply to the Instruments described in these Final Terms. If applicable, potential investors should also take account of the additional risk factors described below which arise from the respective structure and/or from the respective Underlying of the Instruments described in these Final Terms and which are not contained in the prospectus. The risk factors described are in no way intended to present a complete list of all the risks at the level of the Issuer, of the Instruments described in these Final Terms or of the respective Underlying and cannot take account of the individual situation of any potential investor. In particular, this description is not to be understood as being a form of advice provided by the Issuer regarding the risks existing at the time when these Final Terms are published or existing at a later point in time on account of a change in circumstances. Potential investors should only consider investing in the Instruments described in these Final Terms if they have thoroughly discussed with their bank advisor, legal advisor, tax or accounting consultant and any other advisors: (i) the suitability of an investment in view of their personal financial, tax and other circumstances, (ii) the information contained in these Final Terms (particularly on the risks) and (iii) the influence of future changes in the Underlying. Several risks might have simultaneous or cumulative effects in respect of the Instruments described in these Final Terms. It is not possible to foresee what effects any combined occurrence of individual risks might have on the value of the Instruments. Investors should therefore be experienced, have knowledge of transactions with instruments such as the Instruments described in these Final Terms and understand that the performance of Instruments depends on the performance of the respective Underlying. The Instruments described in these Final Terms are not suitable for inexperienced investors. The sequence and detail of the description of the individual risk factors in the Final Terms, the Prospectus and the Registration Document allows no conclusion to be drawn about their economic effects or the probability with which a particular risk will occur. Investors should only buy the Instruments described in these Final Terms if they can bear the risk of losing the capital invested including the transaction costs. Additional Specific Risks In addition to the risk factors set out in the Base Prospectus, investors should carefully consider the following additional risk information: The Certificates are based on complex mathematical structures, which may not be readily intelligible to the investor. In addition, there is the possibility that the investor may underestimate the true risk associated with a purchase of Certificates. Potential investors

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