Morgan Stanley & Co. International plc 25 E14 4QA

27 January 2021

MORGAN STANLEY & CO. INTERNATIONAL plc As Issuer (incorporated with limited liability in England and Wales) in relation to the Exchange Traded Program for the Issuance of Warrants and Certificates and Base Prospectus for Warrants and Certificates dated 30 November 2018

ISSUER CALL NOTICE (the “Notice”)

The Issuer hereby notifies the Securityholders that it has exercised its right to terminate the securities identified in the table below (the "Securities") in full in accordance with Paragraph 1(b) (Issuer Call Option) of the applicable section of the Additional Terms and Conditions, with effect as of 3 February 2021 (the “Termination Date”).

The Securityholders are entitled to receive the Optional Settlement Amount, determined by the Determination Agent in accordance with Paragraph 2(b) of the applicable section of the Additional Terms and Conditions on the day which is not later than the tenth Business Day following the Termination Valuation Date. The “Termination Valuation Date” will be on 1 April 2021.

Capitalised terms used but not defined shall have the meaning given to them in the Base Prospectus for Warrants and Certificates dated 30 November 2018, available from the offices of the Issuer and on the Issuer’s website at www.morganstanley.com/etp.

Contact details:

Morgan Stanley & Co. International plc Canary Wharf London E14 4AD United Kingdom

E-mail: [email protected]

Signed on behalf of the Issuer:

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ISIN Issue Date Securities

GB00BG5ZSN01 17/06/2019 BEAR SAS X5 AVA 3 GB00BG5ZT374 17/06/2019 BEAR INVESTOR X8 AVA 2 GB00BG5YYX93 26/04/2019 BEAR APPLE X5 AVA 3 GB00BG5YMT10 05/04/2019 BULL PATRIOT X3 AVA 1 GB00BG5XY361 15/02/2019 BEAR VWS X5 AVA 3 GB00BG5XLL36 24/01/2019 BEAR JPMORGAN X5 AVA 1 GB00BG5XDG25 14/01/2019 BULL SSAB X8 AVA 1 GB00BG5XF006 14/01/2019 BULL GAS X5 AVA 3 GB00BG5WSR59 10/12/2018 BULL OMX X15 AVA 9 GB00BG5WRT09 07/12/2018 BEAR SAS X5 AVA 1

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