LONDON–(BUSINESS WIRE)– As Agent Bank, please be advised of the following rate determined on: 10/1/2026 Issue ¦ NatWest Markets Plc – Series 134 EUR 200,000,000 FRN due October 2028 ISIN Number ¦ XS3196102274 ISIN Reference ¦ 319610227 Issue Nomin EUR ¦ 200000000 Period ¦ 10/5/2026 to 1/4/2027 Payment Date 1/4/2027 Number of Days ¦ 91 Rate ¦ 3.099 Denomination EUR ¦ 1000 ¦ 200000000 ¦ Amount Payable per Denomination ¦ 7.83 ¦ 1566716.67 ¦ Bank of New York Rate