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RNS Number : 7359W Morgan Stanley B.V. 26 August 2025
Morgan Stanley & Co. International plc
25 Cabot Square
Canary Wharf
E14 4QA
26 August 2025
ISSUER CALL NOTICE
Dear All,
Morgan Stanley B.V., as issuer of the Notes identified below, hereby notifies
the Noteholders that it has exercised its right to Call the Notes in whole, in
accordance with Condition of the Terms and Conditions of the Notes, with
effect as of the Call Date specified below.
ISIN: XS2894040745
Issuer: Morgan Stanley B.V.
Structure: NY MORGAN STANLEY B.V. Euroclear Int Non-Discretionary Callable Note iwm.p
04-Dec-2025
Format: Registered
Aggregate Notional Amount: $2,250,000
Outstanding Notional $2,250,000
Original Issue Date: November 19, 2024
Original Maturity Date: December 4, 2025
Optional Redemption Date (Call): September 3, 2025
Minimum call Notice Number of Days: At least 2 business days
Optional Redemption Amount (Call): $2,250,000
The noteholders are entitled to receive the Optional Redemption Amount (Call).
Cash will be delivered by Morgan Stanley & Co. International plc to Bank
of New York Mellon on such Optional Redemption Date (Call).
This Pricing Supplement must be read in conjunction with the Offering Circular
dated 29 June 2018 (the "Offering Circular"). Full information on the Issuer,
the Guarantor and the offer of the Notes is only available on the basis of the
combination of this Pricing Supplement and the Offering Circular. Copies of
the Offering Circular are available from the offices of Morgan Stanley &
Co. International plc at 25 Cabot Square, Canary Wharf, London, E14 4QA. The
Offering Circular has also been published on the website of Euronext Dublin
(www.ise.ie) and the Luxembourg Stock Exchange (www.bourse.lu
(http://www.bourse.lu) ).
Please do not hesitate to contact us for further information.
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