UBS AG ANNOUNCEMENT. Proposed Issue of 15,000,000 European Style Index Put Warrants relating to the Hang Seng Index

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1 UBS AG (Incorporated with limited liability in Switzerland) ANNOUNCEMENT Proposed Issue of 15,000,000 European Style Index Put Warrants relating to the Hang Seng Index Introduction UBS AG (the Issuer ) acting through its London Branch wishes to announce the launch of the proposed issuance of 15,000,000 European Style Index Put Warrants (the Warrants ) relating to the Hang Seng Index (the Index ). UBS AG, acting through its London Branch, has been appointed as the designated market-maker (the Designated Market Maker ) for the Warrants and The Central Depository (Pte) Limited ( CDP ) has been appointed as the warrant agent (the Warrant Agent ) for the Warrants. The Warrants are cash-settled warrants which entitle a warrantholder to be paid a cash settlement amount (if positive) (the Cash Settlement Amount ) in accordance with the terms and conditions of the Warrants. Further details of the Warrants are set out below. Exercise of the Warrants The issue price of each Warrant is S$ The conversion ratio is (i.e. every 1,000 Warrants will initially relate to one Index unit) (the Conversion Ratio ). The Warrants have a strike level of 22,600 (the Strike Level ) and may only be exercised on 29 April 2013 (the Expiry Date ). Cash Settlement Amount Warrantholders shall not be required to deliver an exercise notice. Exercise of Warrants shall be determined by the Closing Level of the Index. If the Strike Level is greater than the Closing Level of the Index and the Cash Settlement Amount (less any exercise expenses) is positive, all Warrants shall be deemed to have been automatically exercised at 5:00 p.m. (Singapore time) on the Expiry Date or if the Expiry Date is not a Business Day, the immediately preceding Business Day. The Cash Settlement Amount less the exercise expenses in respect of the Warrants shall be paid in the manner set out in the terms and conditions of the Warrants. In the event the Strike Level is less than or equal to the Closing Level of the Index and the Cash Settlement Amount (less any exercise expenses) is zero or negative, all Warrants shall be deemed to have expired at 5:00 p.m. (Singapore time) on the Expiry Date or if the Expiry Date is not a Business Day, the immediately preceding Business Day, and warrantholders shall not be entitled to receive any payment from the Issuer in respect of the Warrants. The Cash Settlement Amount in respect of each Warrant is calculated as follows:

2 2 [(Strike Level - Closing Level) x Conversion Ratio x Index Currency Amount] Exchange Rate Where Closing Level : The average of quotations of the Index compiled, computed and disseminated by the Hang Seng Indexes Company Limited taken at (i) five minute intervals from five minutes after the start of, and up to five minutes before the end of, the continuous trading session of The Stock Exchange of Hong Kong Limited ( HKEx ), and (ii) the close of trading on HKEx on the Valuation Date (being the Expiry Date, or if such day is not a Relevant Stock Exchange Business Day (as defined below) the immediately preceding Relevant Stock Exchange Business Day), rounded down to the nearest whole number, subject to the Issuer s right to determine the closing level in good faith upon the occurrence of a Market Disruption Event on the Valuation Date, as described further in Condition 4(c) of the terms and conditions of the Warrants. Exchange Rate : The rate of exchange between the Hong Kong dollar (the Reference Currency ) and the Singapore dollar (the Settlement Currency ) (expressed as the number of units of the Reference Currency per one unit of the Settlement Currency) on the Expiry Date (if it is not a day (other than a Saturday, Sunday, or public holiday) on which HKEx is open for dealings in Hong Kong during its normal trading hours and banks are open for business in Hong Kong ( Relevant Stock Exchange Business Day ), the next following day which is a Business Day and a Relevant Stock Exchange Business Day) at or about 5:00 p.m. (Singapore time), as determined by the Issuer by reference to such source(s) as the Issuer may reasonably determine to be appropriate at such time. The Strike Level is based on the reference level of 23, used for the pricing of the Warrants. The Index Currency Amount is HK$1.00. The Warrants carry a premium of 8.47% and a gearing of 7.23 times. Listing and Trading of the Warrants An application will be made to the Singapore Exchange Securities Trading Limited (the SGX-ST ) for the listing of and quotation for the Warrants. The Warrants, when issued, will be represented by a Global Warrant to be deposited with CDP. The Warrants will be traded on the SGX-ST through the book-entry scripless settlement system of CDP. It is expected that dealings in the Warrants will commence on or about 18 February 2013 on the SGX-ST. The Warrants will be traded in Singapore dollars on the SGX- ST. The Designated Market Maker The Designated Market Maker will provide competitive buy and sell quotes ( Quotations ) for the Warrants continuously during the trading hours of the SGX-ST (with the spread between the buy and sell quotes not exceeding 25 times the minimum permitted price movement in the Warrants in accordance with the rules of the SGX-ST). The minimum quantity of Warrants to which the Quotations will apply is 10,000 Warrants.

3 3 Quotations will/may however not be provided by the Designated Market Maker in the following circumstances: (i) during the pre-market opening and five minutes following the opening of HKEx on any trading day; (ii) before HKEx has opened and after HKEx has closed on any trading day and trading in the securities constituting the Index has ceased for such trading day; (iii) when the Warrants are suspended from trading for any reason; (iv) if a Market Disruption Event occurs; (v) if the Warrant is valueless (where the Issuer s bid price is below the minimum bid size for such securities as prescribed by the SGX-ST), the Designated Market Maker will not provide the bid price. In such an instance, the Designated Market Maker will provide the offer price only; (vi) when trading in the shares or securities relating to or constituting the Index is suspended or limited in a material way for any reason, for the avoidance of doubt, the Designated Market Maker is not obliged to provide quotations for the Warrants at any time when the shares or securities relating to or constituting the Index are not traded for any reason; (vii) when the Issuer or the Designated Market Maker faces technical problems affecting the ability of the Designated Market Maker to provide the bid and offer prices; (viii) when the ability of the Issuer to source a hedge or unwind an existing hedge, as determined by the Issuer in good faith, is materially affected by the prevailing market conditions. The Issuer will inform the SGX-ST of its inability to do so as soon as practicable; (ix) in cases where the Issuer has no Warrants to sell, the Designated Market Maker will only provide the bid price. Warrants held by Issuer or any of Issuer s affiliates in a fiduciary or agency capacity are not Warrants available for market making; (x) when the stock market experiences exceptional price movements and volatility; and (xi) when it is a public holiday in Hong Kong and/or Singapore and/or HKEx and/or the SGX-ST are not open for dealings. The last trading day on which the Designated Market Maker will provide competitive Quotations for the Warrants would be the fifth Exchange Business Day immediately preceding the Expiry Date. Exchange Business Day means, a day (excluding Saturdays, Sundays and public holidays) on which the SGX-ST and HKEx are open for dealings during its normal trading hours and banks are open for business in Singapore and Hong Kong. Termsheet A copy of the termsheet relating to the Warrants is attached as an Appendix to this Announcement.

4 4 Information on the Issuer UBS AG with its subsidiaries ("UBS" or Group ) draws on its 150-year heritage to serve private, institutional and corporate clients worldwide, as well as retail clients in Switzerland. UBS's business strategy is centered on its pre-eminent global wealth management businesses and its universal bank in Switzerland. These businesses, together with a client-focused Investment Bank and a strong, welldiversified Global Asset Management business, will enable UBS to expand its premier wealth management franchise and drive further growth across the Group. Headquartered in Zurich and Basel, Switzerland, UBS has offices in more than 50 countries, including all major financial centers. On 30 September 2012 UBS's Basel 2.5 tier 1¹ ratio was 20.2%, invested assets stood at CHF 2,242 billion, equity attributable to UBS shareholders was CHF 52,449 million and market capitalization was CHF 43,894 million. On the same date, UBS employed 63,745 people². The rating agencies Standard & Poor's, Fitch Ratings and Moody's have published credit ratings reflecting their assessment of the creditworthiness of UBS AG, i.e. its ability to fulfill in a timely manner payment obligations, such as principal or interest payments on long-term loans, also known as debt servicing. The ratings from Fitch Ratings and Standard & Poor's may be attributed a plus or minus sign, and those from Moody's a number. These supplementary attributes indicate the relative position within the respective rating class. UBS AG has long-term senior debt ratings of A (stable outlook) from Standard & Poor's, A2 (stable outlook) from Moody's and A (stable outlook) from Fitch Ratings. The rating from Fitch Ratings has been issued by Fitch Ratings Limited, UK, and the rating from Standard & Poor s has been issued by Standard & Poor s Credit Market Services Europe Limited, UK. Both are registered as credit rating agencies under Regulation (EC) No 1060/2009 as amended by Regulation (EU) No 513/2011 (the CRA Regulation ). The rating from Moody's has been issued by Moody s Investors Service, Inc., which is not established in the EEA and is not certified under the CRA Regulation, but the rating it has issued is endorsed by Moody's Investors Service Ltd., UK, a credit rating agency established in the EEA and registered under the CRA Regulation. Risk Factors Investors are warned that the price of the Warrants may fall in value as rapidly as it may rise and holders may sustain a total loss of their investment. Prospective purchasers should therefore ensure that they understand the nature of the Warrants and carefully study the risk factors set out in the Base Listing Document dated 29 June 2012 (as supplemented by an Addendum dated 16 November 2012) and the supplemental listing document to be issued in respect of the Warrants before they invest in the Warrants. ¹ The Basel 2.5 tier 1 ratio is the ratio of eligible Basel 2.5 tier 1 capital to Basel 2.5 risk-weighted assets. Eligible Basel 2.5 tier 1 capital can be calculated by starting with IFRS equity attributable to shareholders, adding treasury shares at cost and equity classified as obligation to purchase own shares, reversing out certain items, and then deducting certain other items. The most significant items reversed out for capital purposes are unrealized gains/losses on cash flow hedges and own credit gains/losses on liabilities designated at fair value. The largest deductions are treasury shares and own shares, goodwill and intangibles and certain securitization exposures. ² Full-time equivalents.

5 5 Disclaimer The Hang Seng Index (the Index ) is published and compiled by Hang Seng Indexes Company Limited pursuant to a licence from Hang Seng Data Services Limited. The mark and name Hang Seng Index are proprietary to Hang Seng Data Services Limited. Hang Seng Indexes Company Limited and Hang Seng Data Services Limited have agreed to the use of, and reference to, the Index by the Issuer in connection with the Warrants (the Product ), BUT NEITHER HANG SENG INDEXES COMPANY LIMITED NOR HANG SENG DATA SERVICES LIMITED WARRANTS OR REPRESENTS OR GUARANTEES TO ANY BROKER OR HOLDER OF THE PRODUCT OR ANY OTHER PERSON (i) THE ACCURACY OR COMPLETENESS OF THE INDEX AND ITS COMPUTATION OR ANY INFORMATION RELATED THERETO; OR (ii) THE FITNESS OR SUITABILITY FOR ANY PURPOSE OF THE INDEX OR ANY COMPONENT OR DATA COMPRISED IN IT; OR (iii) THE RESULTS WHICH MAY BE OBTAINED BY ANY PERSON FROM THE USE OF THE INDEX OR ANY COMPONENT OR DATA COMPRISED IN IT FOR ANY PURPOSE, AND NO WARRANTY OR REPRESENTATION OR GUARANTEE OF ANY KIND WHATSOEVER RELATING TO THE INDEX IS GIVEN OR MAY BE IMPLIED. The process and basis of computation and compilation of the Index and any of the related formula or formulae, constituent stocks and factors may at any time be changed or altered by Hang Seng Indexes Company Limited without notice. TO THE EXTENT PERMITTED BY APPLICABLE LAW, NO RESPONSIBILITY OR LIABILITY IS ACCEPTED BY HANG SENG INDEXES COMPANY LIMITED OR HANG SENG DATA SERVICES LIMITED (i) IN RESPECT OF THE USE OF AND/OR REFERENCE TO THE INDEX BY THE ISSUER IN CONNECTION WITH THE PRODUCT; OR (ii) FOR ANY INACCURACIES, OMISSIONS, MISTAKES OR ERRORS OF HANG SENG INDEXES COMPANY LIMITED IN THE COMPUTATION OF THE INDEX; OR (iii) FOR ANY INACCURACIES, OMISSIONS, MISTAKES, ERRORS OR INCOMPLETENESS OF ANY INFORMATION USED IN CONNECTION WITH THE COMPUTATION OF THE INDEX WHICH IS SUPPLIED BY ANY OTHER PERSON; OR (iv) FOR ANY ECONOMIC OR OTHER LOSS WHICH MAY BE DIRECTLY OR INDIRECTLY SUSTAINED BY ANY BROKER OR HOLDER OF THE PRODUCT OR ANY OTHER PERSON DEALING WITH THE PRODUCT AS A RESULT OF ANY OF THE AFORESAID, AND NO CLAIMS, ACTIONS OR LEGAL PROCEEDINGS MAY BE BROUGHT AGAINST HANG SENG INDEXES COMPANY LIMITED AND/OR HANG SENG DATA SERVICES LIMITED in connection with the Product in any manner whatsoever by any broker, holder or other person dealing with the Product. Any broker, holder or other person dealing with the Product does so therefore in full knowledge of this disclaimer and can place no reliance whatsoever on Hang Seng Indexes Company Limited and Hang Seng Data Services Limited. For the avoidance of doubt, this disclaimer does not create any contractual or quasi-contractual relationship between any broker, holder or other person and Hang Seng Indexes Company Limited and/or Hang Seng Data Services Limited and must not be construed to have created such relationship. Issued by UBS AG, ACTING THROUGH ITS LONDON BRANCH 6 February 2013

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