On 6 February 2010 ABN AMRO Bank N.V. (registered with the Dutch Chamber of Commerce under number 33002587) changed its name to The Royal Bank of Scotland N.V. and on 1 April 2010 ABN AMRO Holding N.V. changed its name to RBS Holdings N.V. and all references in the attached document to "ABN AMRO Bank N.V." should be read as references to "The Royal Bank of Scotland N.V." and all references to “ABN AMRO Holding N.V.”, should be read as references to “RBS Holdings N.V.”. These name changes are not changes to either the legal entity which issued your securities or the guarantor of them and they do not affect any of the terms and conditions of your securities. For further information on The Royal Bank of Scotland N.V. or RBS Holdings N.V., and their financial status please refer to the current Registration Document for RBS Holdings N.V. and The Royal Bank of Scotland N.V., which is available at http://markets.rbs.com/bparchive/ and to the documents on file at http://www.sec.gov. Since 6 February 2010 the name ABN AMRO Bank N.V. has been used by a separate legal entity (registered with the Dutch Chamber of Commerce under number 34334259), this entity became wholly owned by the State of the Netherlands on 1 April 2010. Neither the new entity named ABN AMRO Bank N.V. nor the State of the Netherlands will, in any way, guarantee or otherwise support the obligations under your securities, issued by The Royal Bank of Scotland N.V. (formerly ABN AMRO Bank N.V.), registered with the Dutch Chamber of Commerce under number 33002587.
The Royal Bank of Scotland N.V., established in Amsterdam, The Netherlands. Registered with the Chamber of Commerce in The Netherlands, no 33002587. Authorised by De Nederlandsche Bank N.V. and regulated by the Authority for the Financial Markets in The Netherlands. The Royal Bank of Scotland N.V. is an authorised agent of The Royal Bank of Scotland plc.
DATED : 14 FEBRUARY 2006
500,000 ABN AMRO HOLDINGS TURBO LONG CERTIFICATES ISSUE PRICE : EUR 3.24 600,000 KONINKLIJKE AHOLD N.V. TURBO LONG CERTIFICATES ISSUE PRICE : EUR 0.95 125,000 AKZO NOBEL TURBO LONG CERTIFICATES ISSUE PRICE : EUR 5.96 500,000 REED ELSEVIER TURBO LONG CERTIFICATES ISSUE PRICE : EUR 1.57 500,000 ING GROEP NV-CVA TURBO LONG CERTIFICATES ISSUE PRICE : EUR 3.37 1,000,000 KONINKLIJKE KPN NV TURBO LONG CERTIFICATES ISSUE PRICE : EUR 1.01 500,000 PHILIPS ELECTRONICS NV TURBO LONG CERTIFICATES ISSUE PRICE : EUR 2.65 200,000 UNILEVER TURBO LONG CERTIFICATES ISSUE PRICE : EUR 5.45 250,000 YAHOO ! INC TURBO LONG CERTIFICATES ISSUE PRICE : EUR 4.43 100,000 APPLE COMPUTER TURBO SHORT CERTIFICATES ISSUE PRICE : EUR 20.00 100,000 CISCO SYSTEMS INC . TURBO SHORT CERTIFICATES ISSUE PRICE : EUR 5.05 5,000,000 CORUS GROUP PLC TURBO SHORT CERTIFICATES ISSUE PRICE : EUR 0.17
FINAL TERMS DATED : 14 FEBRUARY 2006 Terms used herein shall be deemed to be defined as such for the purposes of the General Conditions and the Product Conditions applicable to each Series of Turbo Certificates described herein (the "relevant Product Conditions") as set forth in the Base Prospectus relating to Turbos dated 1 July, 2005 (the "Base Prospectus") which constitutes a base prospectus for the purposes of the Prospectus Directive (Directive 2003/71/EC) (the "Prospectus Directive"). This document constitutes the Final Terms of each Series of the Turbo Certificates described herein for the purposes of Article 5.4 of the Prospectus Directive and must be read in conjunction with the Base Prospectus. Full information on the Issuer and each Series of the Turbo Certificates described herein is only available on the basis of the combination of these Final Terms and the Base Prospectus. The Base Prospectus is available for viewing at the registered office of the Issuer at Gustav Mahlerlaan 10, 1082 PP Amsterdam, The Netherlands and copies may be obtained from the Issuer at that address. These Final Terms must be read in conjunction with, and are subject to, the General Conditions and the relevant Product Conditions contained in the Base Prospectus. These Final Terms, the relevant Product Conditions and the General Conditions together constitute the Conditions of each Series of the Turbo Certificates described herein and will be attached to the Global Certificate representing each such Series of the Turbo Certificates. In the event of any inconsistency between these Final Terms and the General Conditions or the relevant Product Conditions, these Final Terms will govern. So far as the Issuer is aware, no person involved in the issue of the Turbo Certificates has an interest material to the offer.
1
Issuer:
ABN AMRO Bank N.V., acting through its principal office at Gustav Mahlerlaan 10, 1082 PP Amsterdam, The Netherlands or its London branch at 250 Bishopsgate, London EC2M 4AA
Clearing Agents:
Centraal Instituut voor Giraal Effectenverkeer B.V. (Euroclear Netherlands) Clearstream Banking S.A. Euroclear Bank S.A.
Launch Date:
15 February 2006
"As, If and When-" issued Trading:
15, 16 and 17 February 2006
Issue Date:
20 February 2006
Listing:
Eurolist by Euronext Amsterdam
Admission to Trading:
Application has been made for the Securities to be admitted to trading on Eurolist by Euronext Amsterdam with effect from 15 February 2006
Principal Agent:
ABN AMRO Bank N.V. MF 2020 Kemelstede 2, P.O. Box 3200, 4800 DE Breda, The Netherlands
Calculation Agent:
ABN AMRO BANK N.V., 250 Bishopsgate, London EC2M 4AA
Announcements to Holders:
Delivered to Clearing Agents
Indication of Yield:
Not Applicable
2
SINGLE STOCK TURBO CERTIFICATES
Series:
ABN AMRO Holdings Turbo Long Certificates
Issue Price:
EUR 3.24
Share Company:
ABN AMRO Holdings
Current Financing Level on the Launch Date:
EUR 21.3
Current Spread on the Launch Date:
1.5%
Current Stop Loss Premium Rate on the Launch Date:
7.5%
Entitlement:
1
Exchange:
Eurolist by Euronext Amsterdam
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
EUR
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
3.5%
Minimum Premium:
7.5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
EUR 22.9
Stop Loss Reset Date:
15th day
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174423
Fonds Code:
17442
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
3
AABA NA
Series:
Apple Computer Turbo Short Certificates
Issue Price:
EUR 20
Share:
Ordinary Shares of Apple Computer (ISIN US0378331005) (Bloomberg Code: AAPL US)
Share Company:
Apple Computer
Current Financing Level on the Launch Date:
USD 88.9
Current Spread on the Launch Date:
1.5%
Current Stop Loss Premium Rate on the Launch Date:
10%
Entitlement:
1
Exchange:
Nasdaq
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
USD
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
3.5%
Minimum Premium:
5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
USD 80
Stop Loss Reset Date:
15th day
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174357
Fonds Code:
17435
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
4
AAPL US
Code:
Series:
Koninklijke Ahold N.V. Turbo Long Certificates
Issue Price:
EUR 0.95
Share:
Ordinary Shares of Koninklijke Ahold N.V. (ISIN Code: NL0000331817) (Bloomberg Code: AHLN NA)
Share Company:
Koninklijke Ahold N.V.
Current Financing Level on the Launch Date:
EUR 6
Current Spread on the Launch Date:
1.5%
Current Stop Loss Premium Rate on the Launch Date:
7.5%
Entitlement:
1
Exchange:
Eurolist by Euronext Amsterdam
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
EUR
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
3.5%
Minimum Premium:
7.5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
EUR 6.5
Stop Loss Reset Date:
15th day
Stop Loss Price Rounding:
Upwards to the next 0.1 unit of the Financing Level Currency
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174431
Fonds Code:
17443
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
5
AHLN NA
Series:
Akzo Nobel Turbo Long Certificates
Issue Price:
EUR 5.96
Share:
Ordinary Shares of Akzo Nobel (ISIN Code: NL0000009132) (Bloomberg Code: AKZA NA)
Share Company:
Akzo Nobel
Current Financing Level on the Launch Date:
EUR 37.2
Current Spread on the Launch Date:
1.5%
Current Stop Loss Premium Rate on the Launch Date:
7.5%
Entitlement:
1
Exchange:
Eurolist by Euronext Amsterdam
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
EUR
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
3.5%
Minimum Premium:
5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
EUR 40
Stop Loss Reset Date:
15th day
Stop Loss Price Rounding:
Upwards to the next 0.1 unit of the Financing Level Currency
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174449
Fonds Code:
17444
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
6
AKZA NA
Series:
Cisco Systems Inc. Turbo Short Certificates
Issue Price:
EUR 5.05
Share:
Ordinary Shares of Cisco Systems Inc.(ISIN US17275R1023) (Bloomberg Code: CSCO US)
Share Company:
Cisco Systems Inc.
Current Financing Level on the Launch Date:
USD 25.6
Current Spread on the Launch Date:
2%
Current Stop Loss Premium Rate on the Launch Date:
10%
Entitlement:
1
Exchange:
Nasdaq Stock Exchange
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
USD
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
2%
Minimum Premium:
5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
USD 23
Stop Loss Reset Date:
15th day
Stop Loss Price Rounding:
Downwards to the next 0.1 unit of the Financing Level Currency
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174365
Fonds Code:
17436
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
7
CSCO US
Code:
Series:
Corus Group PLC Turbo Short Certificates
Issue Price:
EUR 0.17
Share:
Ordinary Shares of Corus Group PLC(ISIN GB0008280538) (Bloomberg Code: CORS NA)
Share Company:
Corus Group PLC
Current Financing Level on the Launch Date:
EUR 1.23
Current Spread on the Launch Date:
1.5%
Current Stop Loss Premium Rate on the Launch Date:
10%
Entitlement:
1
Exchange:
Eurolist by Euronext Amsterdam
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
EUR
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
3.5%
Minimum Premium:
10%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
EUR 1.1
Stop Loss Reset Date:
15th day
Stop Loss Price Rounding:
Downwards to the next 0.01 unit of the Financing Level Currency
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174373
Fonds Code:
17437
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
8
CORS NA
Code:
Series:
Reed Elsevier Turbo Long Certificates
Issue Price:
EUR 1.57
Share:
Ordinary Shares of Reed Elsevier (ISIN Code: NL0000349488) (Bloomberg Code: REN NA)
Share Company:
Reed Elsevier
Current Financing Level on the Launch Date:
EUR 10.2
Current Spread on the Launch Date:
1.5%
Current Stop Loss Premium Rate on the Launch Date:
7.5%
Entitlement:
1
Exchange:
Eurolist by Euronext Amsterdam
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
EUR
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
8.5%
Minimum Premium:
5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
EUR 11
Stop Loss Reset Date:
15th day
Stop Loss Price Rounding:
Upwards to the next 0.1 unit of the Financing Level Currency
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174480
Fonds Code:
17448
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
9
REN NA
Series:
ING Groep NV-CVA Turbo Long Certificates
Issue Price:
EUR 3.37
Share:
Ordinary Shares of ING Groep NV-CVA (ISIN Code: NL0000303600) (Bloomberg Code: INGA NA)
Share Company:
ING Groep NV-CVA
Current Financing Level on the Launch Date:
EUR 26.9
Current Spread on the Launch Date:
1.5%
Current Stop Loss Premium Rate on the Launch Date:
7.5%
Entitlement:
1
Exchange:
Eurolist by Euronext Amsterdam
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
EUR
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
3.5%
Minimum Premium:
7.5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
EUR 29
Stop Loss Reset Date:
15th day
Stop Loss Price Rounding:
Upwards to the next 0.1 unit of the Financing Level Currency
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174456
Fonds Code:
17445
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
10
INGA NA
Series:
Koninklijke KPN NV Turbo Long Certificates
Issue Price:
EUR 1.01
Share:
Ordinary Shares of Code:NL0000008082
Share Company:
Koninklijke KPN NV
Current Financing Level on the Launch Date:
EUR 7.4
Current Spread on the Launch Date:
1.5%
Current Stop Loss Premium Rate on the Launch Date:
7.5%
Entitlement:
1
Exchange:
Eurolist by Euronext Amsterdam
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
EUR
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
3.5%
Minimum Premium:
7.5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
EUR 8
Stop Loss Reset Date:
15th day
Stop Loss Price Rounding:
Upwards to the next 0.1 unit of the Financing Level Currency
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174464
Fonds Code:
17446
Koninklijke
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
11
KPN NA
KPN
NV
(ISIN
Series:
Philips Electronics NV Turbo Long Certificates
Issue Price:
EUR 2.65
Share:
Ordinary Shares of Philips Electronics NV (ISIN Code: NL0000009538) (Bloomberg Code: PHIA NA)
Share Company:
Philips Electronics NV
Current Financing Level on the Launch Date:
EUR 25.1
Current Spread on the Launch Date:
1.5%
Current Stop Loss Premium Rate on the Launch Date:
7.5%
Entitlement:
1
Exchange:
Eurolist by Euronext Amsterdam
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
EUR
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
3.5%
Minimum Premium:
7.5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
EUR 27
Stop Loss Reset Date:
15th day
Stop Loss Price Rounding:
Upwards to the next 0.1 unit of the Financing Level Currency
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174472
Fonds Code:
17447
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
12
PHIA NA
Series:
Unilever Turbo Long Certificates
Issue Price:
EUR 5.45
Share:
Ordinary Shares of Unilever (ISIN Code: NL0000009348) (Bloomberg Code: UNA NA)
Share Company:
Unilever
Current Financing Level on the Launch Date:
EUR 53.9
Current Spread on the Launch Date:
1.5%
Current Stop Loss Premium Rate on the Launch Date:
7.5%
Entitlement:
1
Exchange:
Eurolist by Euronext Amsterdam
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
EUR
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
3.5%
Minimum Premium:
7.5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
EUR 58
Stop Loss Reset Date:
15th day
Stop Loss Price Rounding:
Upwards to the next 0.1 unit of the Financing Level Currency
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174498
Fonds Code:
17449
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
13
UNA NA
Series:
Yahoo! Inc Turbo Long Certificates
Issue Price:
EUR 4.43
Share:
Ordinary Shares of Yahoo! Inc (ISIN Code: US9843321061) (Bloomberg Code: YHOO US)
Share Company:
Yahoo! Inc
Current Financing Level on the Launch Date:
USD 27.2
Current Spread on the Launch Date:
2%
Current Stop Loss Premium Rate on the Launch Date:
10%
Entitlement:
1
Exchange:
New York Stock Exchange
Exercise Time:
10.00 a.m. Central European Time
Financing Level Currency:
USD
Issuer Call Commencement Date:
The first Business Day following the Launch Date
Issuer Call Notice Period:
One day
Maximum Premium:
15%
Maximum Spread:
2%
Minimum Premium:
5%
Reset Date:
15th day
Settlement Currency:
EUR
Settlement Date:
Up to the fifth Business Day following the Valuation Date, the Stop Loss Termination Valuation Date or the Issuer Call Date, as the case may be
Stop Loss Price on the Launch Date:
USD 30
Stop Loss Reset Date:
15th day
Stop Loss Price Rounding:
Upwards to the next 0.1 unit of the Financing Level Currency
Valuation Date:
The last Trading Day of March in each year, commencing at least one calendar year after the Issue Date
ISIN:
NL0000174506
Fonds Code:
17450
INFORMATION ON THE UNDERLYING Bloomberg page where information about the past and future performance of the Underlying and its volatility can be obtained:
14
YHOO US
RESPONSIBILITY The Issuer accepts responsibility for the information contained in these Final Terms.
15
gevestigd te Amsterdam Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 8 februari 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 29 maart 2006 de uitgifte van de Fortis Turbo Long Certificates (fondscode 17405) is verhoogd van 250.000 certificaten naar 500.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 20 februari 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 29 maart 2006 de uitgifte van de Vedior Turbo Long Certificates (fondscode 17463) is verhoogd van 500.000 certificaten naar 1.000.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 14 februari 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 29 maart 2006 de uitgifte van de Koninklijke Ahold N.V. Turbo Long Certificates (fondscode 17443) is verhoogd van 600.000 certificaten naar 1.200.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 14 februari 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 29 maart 2006 de uitgifte van de Akzo Nobel Turbo Long Certificates (fondscode 17444) is verhoogd van 125.000 certificaten naar 250.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 20 oktober 2005 deelt ABN AMRO Bank N.V. hierbij mede dat per 29 maart 2006 de uitgifte van de Royal Dutch Shell A Turbo Long Certificates (fondscode 43199) is verhoogd van 1.000.000 certificaten naar 1.500.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 24 maart 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 29 maart 2006 de uitgifte van de Getronics Turbo Long Certificates (fondscode 45305) is verhoogd van 4.000.000 certificaten naar 6.000.000 certificaten. Lead Manager
ABN AMRO Amsterdam, 28 maart 2006
gevestigd te Amsterdam Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 3 maart 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 28 april 2006 de uitgifte van de Intel Corporation Turbo Long Certificates (fondscode 17530) is verhoogd van 100.000 certificaten naar 200.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 15 november 2005 deelt ABN AMRO Bank N.V. hierbij mede dat per 28 april 2006 de uitgifte van de Unilever Turbo Long Certificates (fondscode 17072) is verhoogd van 200.000 certificaten naar 400.000 certificaten. Onder verwijzing naar het prospectus d.d. 1 juli 2005 en de definitieve voorwaarden d.d. 10 oktober 2005 deelt ABN AMRO Bank N.V. hierbij mede dat per 28 april 2006 de uitgifte van de EURJPY Turbo Short Certificates (fondscode 43170) is verhoogd van 100.000 certificaten naar 200.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 6 april 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 28 april 2006 de uitgifte van de S&P 500 Index® Turbo Short Certificates (fondscode 45857) is verhoogd van 501.000 certificaten naar 750.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 29 maart 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 28 april 2006 de uitgifte van de Nikkei 225 Turbo Long Certificates (fondscode 17707) is verhoogd van 500.000 certificaten naar 1.000.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 14 februari 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 28 april 2006 de uitgifte van de ABN AMRO Turbo Long Certificates (fondscode 17442) is verhoogd van 500.000 certificaten naar 750.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 15 maart 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 28 april 2006 de uitgifte van de BUND Turbo Short Certificates (fondscode 17599) is verhoogd van 62.500 certificaten naar 125.000 certificaten. Lead Manager
ABN AMRO Amsterdam, 27 april 2006
gevestigd te Amsterdam Onder verwijzing naar het prospectus d.d. 1 juli 2005 en de definitieve voorwaarden d.d. 31 oktober 2005 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de AHOLD Turbo Long Certificates (fondscode 17561) is verhoogd van 1.200.000 certificaten naar 2.400.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 14 februari 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de ING Groep NV-CVA Turbo Long Certificates (fondscode 17445) is verhoogd van 500.000 certificaten naar 1.000.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 24 mei 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de AEX-Index Turbo Short Certificates Series B (fondscode 01432) is verhoogd van 750.000 certificaten naar 1.500.000 certificaten. Onder verwijzing naar het prospectus d.d. 1 juli 2005 en de definitieve voorwaarden d.d. 15 november 2005 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de DSM Turbo Long Certificates (fondscode 17066) is verhoogd van 125.000 certificaten naar 250.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 21 maart 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de Brent Crude Oil Future Contract Turbo Long Certificates (fondscode 17621) is verhoogd van 125.000 certificaten naar 250.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 18 april 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de Brent Crude Oil Future Contract Turbo Long Certificates (fondscode 17756) is verhoogd van 250.000 certificaten naar 500.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 1 februari 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de Dow Jones Turkey Titans Turbo Short Certificates (fondscode 17348) is verhoogd van 2.500.000 certificaten naar 3.500.000 certificaten. Onder verwijzing naar het prospectus d.d. 1 juli 2005 en de definitieve voorwaarden d.d. 15 november 2005 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de ASML Holdings NV Turbo Long Certificates (fondscode 17065) is verhoogd van 400.000 certificaten naar 800.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 20 december 2005 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de ABN AMRO Holdings Turbo Long Certificates (fondscode 17218) is verhoogd van 1.000.000 certificaten naar 2.000.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 14 maart 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de Brent Crude Oil Future Contract Turbo Short Certificates (fondscode 45061) is verhoogd van 375.000 certificaten naar 500.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 14 februari 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de Akzo Nobel Turbo Long Certificates (fondscode 17444) is verhoogd van 250.000 certificaten naar 500.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 4 april 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de The price of the Futures Contract on 6%, 10-year German Goverment Bond Turbo Short Certificates (fondscode 17742) is verhoogd van 62.500 certificaten naar 1.000.000 certificaten. Onder verwijzing naar het prospectus d.d. 1 jui 2005 en de definitieve voorwaarden d.d. 8 november 2005 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de Nikkei 225 Turbo Long Certificates (fondscode 17025) is verhoogd van 500.000 certificaten naar 1.000.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 3 maart 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de Dow Jones EURO STOXX 50 Turbo Short Certificates (fondscode 17547) is verhoogd van 250.000 certificaten naar 500.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 3 mei 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de EURUSD Exchange Rate (Position Long Eur / Short USD) Turbo Long Certificates (fondscode 17883) is verhoogd van 400.000 certificaten naar 1.600.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 3 maart 2006 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van Hagemyer Turbo Long Certificates (fondscode 17526) is verhoogd van 2.500.000 certificaten naar 5.000.000 certificaten. Onder verwijzing naar het prospectus d.d. 1 juli 2005 en de definitieve voorwaarden d.d. 3 oktober 2005 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de Nikkei 225 Turbo Long Certificates (fondscode 43152) is verhoogd van 1.000.000 certificaten naar 2.000.000 certificaten. Onder verwijzing naar het prospectus d.d. 15 november 2005 en de definitieve voorwaarden d.d. 22 november 2005 deelt ABN AMRO Bank N.V. hierbij mede dat per 14 juni 2006 de uitgifte van de Nikkei 225 Index Turbo Long Certificates (fondscode 17100) is verhoogd van 625.000 certificaten naar 1.250.000 certificaten. Lead Manager
ABN AMRO Amsterdam, 12 juni 2006