ABN AMRO BANK N.V. DATED 16 AUGUST ,000 AEGON TURBO LONG CERTIFICATES ISSUE PRICE EUR 0.45

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1 DATED 6 AUGUST 20 ABN AMRO BANK N.V. 500,000 AEGON TURBO LONG CERTIFICATES ISSUE PRICE.8 500,000 AEGON TURBO LONG CERTIFICATES ISSUE PRICE ,000 AEGON TURBO LONG CERTIFICATES ISSUE PRICE ,000 APPLE TURBO LONG CERTIFICATES ISSUE PRICE ,000 ARCELORMITTAL TURBO LONG CERTIFICATES ISSUE PRICE ,000 ARCELORMITTAL TURBO LONG CERTIFICATES ISSUE PRICE ,000 BASF TURBO LONG CERTIFICATES ISSUE PRICE ,000 BASF TURBO LONG CERTIFICATES ISSUE PRICE ,000 BMW TURBO LONG CERTIFICATES ISSUE PRICE ,000 BNP PARIBAS TURBO LONG CERTIFICATES ISSUE PRICE 5.2

2 00,000 BP TURBO LONG CERTIFICATES ISSUE PRICE ,000 BP TURBO LONG CERTIFICATES ISSUE PRICE ,000 COMMERZBANK TURBO LONG CERTIFICATES ISSUE PRICE ,000 COMMERZBANK TURBO LONG CERTIFICATES ISSUE PRICE ,000 DEUTSCHE BANK TURBO LONG CERTIFICATES ISSUE PRICE ,000 DEUTSCHE BANK TURBO LONG CERTIFICATES ISSUE PRICE ,000 DEXIA S.A. TURBO LONG CERTIFICATES ISSUE PRICE ,000 DEXIA S.A. TURBO LONG CERTIFICATES ISSUE PRICE ,000 FUGRO TURBO LONG CERTIFICATES ISSUE PRICE ,000 FUGRO TURBO LONG CERTIFICATES ISSUE PRICE ,000 FUGRO TURBO SHORT CERTIFICATES ISSUE PRICE ,000 IMTECH TURBO SHORT CERTIFICATES ISSUE PRICE ,000 IMTECH TURBO LONG CERTIFICATES ISSUE PRICE ,000 IMTECH TURBO LONG CERTIFICATES ISSUE PRICE ,000 IMTECH TURBO LONG CERTIFICATES ISSUE PRICE ,000 ING GROEP TURBO LONG CERTIFICATES ISSUE PRICE ,000 ING GROEP TURBO LONG CERTIFICATES ISSUE PRICE.8 500,000 ING GROEP TURBO LONG CERTIFICATES ISSUE PRICE ,000 ING GROEP TURBO LONG CERTIFICATES ISSUE PRICE ,000 ING GROEP TURBO LONG CERTIFICATES ISSUE PRICE ,000 ING GROEP TURBO LONG CERTIFICATES ISSUE PRICE ,000 ING GROEP TURBO SHORT CERTIFICATES ISSUE PRICE 0.5 2

3 500,000 KBC GROEP N.V. TURBO SHORT CERTIFICATES ISSUE PRICE ,000 KBC GROEP N.V. TURBO LONG CERTIFICATES ISSUE PRICE ,000 KBC GROEP N.V. TURBO LONG CERTIFICATES ISSUE PRICE ,000 KBC GROEP N.V. TURBO LONG CERTIFICATES ISSUE PRICE ,000 KONINKLIJKE BOSKALIS WESTMINSTER NV TURBO LONG CERTIFICATES ISSUE PRICE ,000 KONINKLIJKE BOSKALIS WESTMINSTER NV TURBO LONG CERTIFICATES ISSUE PRICE ,000 KONINKLIJKE BOSKALIS WESTMINSTER NV TURBO SHORT CERTIFICATES ISSUE PRICE ,000 RANDSTAD HOLDINGS TURBO LONG CERTIFICATES ISSUE PRICE ,000 RANDSTAD HOLDINGS TURBO LONG CERTIFICATES ISSUE PRICE ,000 RANDSTAD HOLDINGS TURBO LONG CERTIFICATES ISSUE PRICE ,000 ROYAL DUTCH SHELL PLC TURBO SHORT CERTIFICATES ISSUE PRICE ,000 ROYAL DUTCH SHELL PLC TURBO SHORT CERTIFICATES ISSUE PRICE ,000 ROYAL DUTCH SHELL PLC TURBO LONG CERTIFICATES ISSUE PRICE.72 3

4 FINAL TERMS 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 24 September 200 (the Base Prospectus ) as supplemented from time to time which constitutes a base prospectus for the purposes of the Prospectus Directive (Directive 2003/7/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 as so supplemented. 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 as so supplemented. The Base Prospectus as so supplemented is available for viewing at the registered office of the Issuer at Gustav Mahlerlaan 0, 082 PP Amsterdam, The Netherlands and copies may be obtained free of charge from the Issuer at that address and on 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 as so supplemented. 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. The Netherlands Authority for the Financial Markets has provided the Banking, Finance and Insurance Commission (CBFA) in Belgium with a certificate of approval attesting that the Base Prospectus has been drawn up in accordance with the Prospectus Directive. So far as the Issuer is aware, no person (other than the Issuer and the Calculation Agent, see Risk Factors Actions taken by the Calculation Agent may affect the Underlying in the Base Prospectus) involved in the issue of the Turbo certificates has an interest material to the offer. 4

5 Issuer: ABN AMRO Bank N.V., acting through its principal office at Gustav Mahlerlaan 0, 082 PP Amsterdam, The Netherlands Clearing Agents: Euroclear Netherlands N.V., Amsterdam, Netherlands Pricing Date(s): 6 August 20 Subscription Period: Not Applicable As, If and When issued Trading: Not Applicable Issue Date: 7 August 20 Listing: Euronext Amsterdam Listing Date: 7 August 20 Admission to trading: Application has been made for the Securities to be admitted to trading on NYSE Euronext in Amsterdam with effect from 7 August 20 Announcements to Holders: Delivered to Clearing Agents Principal Agent: Goldman Sachs International, London, UK Paying Agent(s): Citibank International plc, Amsterdam Calculation Agent: Goldman Sachs International, London, UK Dealer: Goldman Sachs International, London, UK Indication of yield: Not Applicable Amendments to General Conditions or Product Conditions: Amendments to the General Conditions and/or Product Conditions as required by applicable consumer protection and other laws and/or clearing system and exchange rules. Such amendments may be (i) deletion of one or more General Conditions and/or Product Conditions in part or in its entirety; (ii) addition of disclosure and/or publication requirements; (iii) addition of clearing system details and applicable clearing rules and arrangements agreed between the Issuer and the relevant clearing system; and (iv) other changes which are not materially prejudicial to the interest of the holders of Securities. 5

6 SINGLE STOCK TURBO CERTIFICATES TABLE SPECIFIC PRODUCT TERMS (MULTI-ISSUANCES): ISIN / Common Code / Mnemonic NL / / 7473A NL / / 7474A NL / / 7475A NL / / 7472A NL / / 756A NL / / 757A NL / / 7476A NL / / 7477A NL / / 7478A Underlying (Share) Series (Type) Issue Size / Issue Price (in ) / Settlement Aegon N.V. Long 500,000 /.8 / Aegon N.V. Long 500,000 / 0.63 / Aegon N.V. Long 500,000 / 0.45 / Apple Inc. Long 500,000 / 3.9 / ArcelorMittal S.A. Long 500,000 /.95 / ArcelorMittal S.A. Long 500,000 / 6.40 / BASF SE Long 00,000 / 0.74 / BASF SE Long 00,000 / 0.55 / Bayerische Motoren Werke Long 00,000 / 0.70 / Current Financing Level on the Issue Date (in the Financing Level ) / Current Financing Level Rounding / Financing Level Stop Loss Price on the Issue Date (in the Financing Level ) / Stop Loss Price Rounding Current Spread on the Issue Date / Current Stop Loss Premium Rate on the Issue Date / Maximum Spread / Maximum Premium / Minimum Premium Valuation Date.999 / 0.00 / 2.2 / 0. 2%/ 0%/ 2%/ 30%/ 5% The Business Day / 0.00 / 2.8 / 0. 2%/ 0%/ 2%/ 30%/ 5% The Business Day / 0.00 / 3 / 0. 2%/ 0%/ 2%/ 30%/ 5% The Business Day / 0.00 / USD 37 / 2%/ 0%/ 2%/ 30%/ 5% The Business Day 4.09 / 0.00 / 5.5 / 0. 2%/ 0%/ 2%/ 30%/ 5% The Business Day / 0.00 / 0.6 / 0. 2%/ 0%/ 2%/ 30%/ 5% The Business Day / 0.00 / 49. / 0. 2%/ 7%/ 2%/ 8%/ 3% The Business Day / 0.00 / 5. / 0. 2%/ 7%/ 2%/ 8%/ 3% The Business Day / 0.00 / 54. / 0. 2%/ 7%/ 2%/ 8%/ 3% The Business Day Entitlement

7 ISIN / Common Code / Mnemonic NL / / 7479A NL / / 7483A NL / / 7484A NL / / 7485A NL / / 7486A NL / / 749A NL / / 7492A NL / / 7493A NL / / 7494A NL / / 7502A Underlying (Share) AG (BMW) Series (Type) Issue Size / Issue Price (in ) / Settlement BNP Paribas S.A. Long 00,000 / 5.2 / BP Plc Long 00,000 / 0.67 / BP Plc Long 00,000 / 0.46 / Commerzbank AG Long 00,000 / 0.45 / Commerzbank AG Long 00,000 / 0.26 / Deutsche Bank AG Long 00,000 / 0.45 / Deutsche Bank AG Long 00,000 / 0.83 / Dexia S.A. Long 00,000 / 0.34 / Dexia S.A. Long 00,000 / 0.43 / Fugro N.V. Long 00,000 / 0.64 / Current Financing Level on the Issue Date (in the Financing Level ) / Current Financing Level Rounding / Financing Level Stop Loss Price on the Issue Date (in the Financing Level ) / Stop Loss Price Rounding Current Spread on the Issue Date / Current Stop Loss Premium Rate on the Issue Date / Maximum Spread / Maximum Premium / Minimum Premium Valuation Date 3.72 / 0.00 / 34. / 0. 2%/ 7.5%/ 2%/ 8%/ 3% The Business Day / 0.00 / GBP 3.8 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day 3.72 / 0.00 / GBP 4 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day.7999 / /.98 / 0.0 2%/ 0%/ 2%/ 8%/ 3% The Business Day.988 / / 2.8 / 0.0 2%/ 0%/ 2%/ 8%/ 3% The Business Day / 0.00 / 28 / 0. 2%/ 7%/ 2%/ 8%/ 3% The Business Day / 0.00 / 24 / 0. 2%/ 7%/ 2%/ 8%/ 3% The Business Day.4545 / /.6 / 0. 2%/ 0%/ 2%/ 30%/ 5% The Business Day.3636 / /.5 / 0. 2%/ 0%/ 2%/ 30%/ 5% The Business Day / 0.00 / 38.2 / 0. 2%/ 0%/ 2%/ 30%/ 5% The Business Day NL / Fugro N.V. Long 00,000 / 0.46 / / 0.00 / 40.2 / 0. 2%/ 0%/ 2%/ 30%/ 5% The Business Day 0. Entitlement

8 ISIN / Common Code / Mnemonic Underlying (Share) Series (Type) Issue Size / Issue Price (in ) / Settlement Current Financing Level on the Issue Date (in the Financing Level ) / Current Financing Level Rounding / Financing Level Stop Loss Price on the Issue Date (in the Financing Level ) / Stop Loss Price Rounding Current Spread on the Issue Date / Current Stop Loss Premium Rate on the Issue Date / Maximum Spread / Maximum Premium / Minimum Premium Valuation Date / 7503A NL / / 7504A NL / / 7505A NL / / 7506A NL / / 7507A NL / / 7508A NL / / 7509A NL / / 750A NL / / 75A NL / / 752A NL / / 753A Fugro N.V. Short 00,000 / 0.69 / Imtech N.V. Short 00,000 / 6.97 / Imtech N.V. Long 00,000 / 2.66 / Imtech N.V. Long 00,000 / 4.44 / Imtech N.V. Long 00,000 / 6.22 / ING Groep N.V. Long 500,000 / 2.8 / ING Groep N.V. Long 500,000 /.8 / ING Groep N.V. Long 500,000 /.34 / ING Groep N.V. Long 500,000 / 0.97 / ING Groep N.V. Long 500,000 / 0.79 / 48 / 0.00 / 43.2 / 0. 2%/ 0%/ 2%/ 30%/ 5% The Business Day / 0.00 / 23.2 / 0. 2%/ 2.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 9 / 0. 2%/ 2.5%/ 2%/ 30%/ 5% The Business Day 5. / 0.00 / 7 / 0. 2%/ 2.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 5 / 0. 2%/ 2.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 4.2 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 4.6 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 5. / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day 5.6 / 0.00 / 5.5 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 5.7 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day Entitlement 0. 8

9 ISIN / Common Code / Mnemonic NL / / 754A NL / / 755A NL / / 758A NL / / 759A NL / / 7520A NL / / 752A NL / / 7480A NL / / 748A NL / / 7482A NL / / 7522A NL / / 7523A Underlying (Share) Series (Type) Issue Size / Issue Price (in ) / Settlement ING Groep N.V. Long 500,000 / 0.60 / ING Groep N.V. Short 500,000 / 0.5 / KBC GROEP N.V. Short 500,000 / 0.8 / KBC GROEP N.V. Long 500,000 / 0.32 / KBC GROEP N.V. Long 500,000 / 0.5 / KBC GROEP N.V. Long 500,000 / 0.69 / Koninklijke Boskalis Westminster NV Koninklijke Boskalis Westminster NV Koninklijke Boskalis Westminster NV Randstad N.V. Randstad N.V. Holding Holding Long 00,000 / 0.45 / Long 00,000 / 0.26 / Short 00,000 / 0.63 / Long 00,000 / 5.58 / Long 00,000 / 7.44 / Current Financing Level on the Issue Date (in the Financing Level ) / Current Financing Level Rounding / Financing Level Stop Loss Price on the Issue Date (in the Financing Level ) / Stop Loss Price Rounding Current Spread on the Issue Date / Current Stop Loss Premium Rate on the Issue Date / Maximum Spread / Maximum Premium / Minimum Premium Valuation Date / 0.00 / 5.9 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 6. / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 20.7 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 8.7 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 6.7 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 4.7 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day 2.86 / 0.00 / 23.5 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 25.5 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 30.2 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 9.6 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 7.6 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day Entitlement

10 ISIN / Common Code / Mnemonic NL / / 7524A NL / / 7525A NL / / 7526A NL / / 7527A Underlying (Share) Randstad N.V. Holding Royal Dutch Shell plc Royal Dutch Shell plc Royal Dutch Shell plc Series (Type) Issue Size / Issue Price (in ) / Settlement Long 00,000 / 9.30 / Short 500,000 / 4.70 / Short 500,000 / 3.62 / Long 500,000 /.72 / Current Financing Level on the Issue Date (in the Financing Level ) / Current Financing Level Rounding / Financing Level Stop Loss Price on the Issue Date (in the Financing Level ) / Stop Loss Price Rounding Current Spread on the Issue Date / Current Stop Loss Premium Rate on the Issue Date / Maximum Spread / Maximum Premium / Minimum Premium Valuation Date 4.5 / 0.00 / 5.6 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 25.3 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 24.3 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day / 0.00 / 22.5 / 0. 2%/ 7.5%/ 2%/ 30%/ 5% The Business Day Entitlement TABLE 2 INFORMATION ON THE UNDERLYING (MULTI-ISSUANCES): Underlying Share Company ISIN / Reuters page / Bloomberg page Ordinary Shares of Aegon N.V. Aegon N.V. NL / AEGN.AS / AGN NA Equity Ordinary Shares of Apple Inc. Apple Inc. US / AAPL.OQ / AAPL UW Equity Ordinary Shares of ArcelorMittal S.A. ArcelorMittal S.A. LU / ISPA.AS / MT NA Equity Registered Shares of BASF SE BASF SE DE000BASF / BASFn.DE / BAS GY Equity Ordinary Shares of Bayerische Motoren Werke AG (BMW) Bayerische Motoren Werke AG (BMW) DE / BMWG.DE / BMW GY Equity Ordinary Shares of BNP Paribas S.A. BNP Paribas S.A. FR / BNPP.PA / BNP FP Equity Ordinary Shares of Koninklijke Boskalis Westminster NV Koninklijke Westminster NV Boskalis NL / BOSN.AS / BOKA NA Equity Ordinary Shares of BP Plc BP Plc GB / BP.L / BP/ LN Equity Exchange Relevant Notional Dividend Amount Underlying website ONEXT Amsterdam Applicable National Association of Securities Dealers Automated Quotations USD Applicable ONEXT Amsterdam Applicable XETRA Applicable XETRA Applicable ONEXT Paris Applicable ONEXT Amsterdam Applicable London Stock Exchange GBP Applicable Ordinary Shares of Commerzbank AG Commerzbank AG DE / CBKG.DE / XETRA Applicable 0

11 Underlying Share Company ISIN / Reuters page / Bloomberg page Registered Shares of Deutsche Bank AG CBK GY Equity Deutsche Bank AG DE / DBKGn.DE / DBK GY Equity Ordinary Shares of Dexia S.A. Dexia S.A. BE / DEXI.BR / DEXB BB Equity Ordinary Shares of Fugro N.V. Fugro N.V. NL / FUGRc.AS / FUR NA Equity Ordinary Shares of Imtech N.V. Imtech N.V. NL / IMUN.AS / IM NA Equity Ordinary Shares of ING Groep N.V. ING Groep N.V. NL / ING.AS / INGA NA Equity Ordinary Shares of KBC GROEP N.V. Ordinary Shares of Randstad Holding N.V. Ordinary Shares of Royal Dutch Shell plc KBC GROEP N.V. BE / KBC.BR / KBC BB Equity Randstad Holding N.V. NL / RAND.AS / RAND NA Equity Royal Dutch Shell plc GB00B03MLX29 / RDSa.AS / RDSA NA Equity Exchange Relevant Notional Dividend Amount Underlying website XETRA Applicable ONEXT Brussels Applicable ONEXT Amsterdam Applicable ONEXT Amsterdam Applicable ONEXT Amsterdam Applicable ONEXT Brussels Applicable ONEXT Amsterdam Applicable ONEXT Amsterdam Applicable

12 Series: As specified in Table Issue Price: As specified in Table Additional Market Disruption Events: None Business Day: As specified in Product Condition Cash Amount: As specified in Product Condition Share: As specified in Table and Table 2 Share Company: As specified in Table 2 Current Financing Level on the Issue Date: As specified in Table Current Financing Level Rounding: Current Spread on the Issue Date: As specified in Table Current Stop Loss Premium Rate on the Issue Date: As specified in Table Emerging Market Disruption Events: As stated in Product Condition Entitlement: As specified in Table Exchange: As specified in Table 2 upwards (in case of Long Certificates) and downwards (in case of Short Certificates) to the next whole unit of the Financing Level as specified in Table Exercise Time:.00am Amsterdam Time Final Reference Price: As specified in Product Condition Financing Level : As specified in Table Issuer Call Commencement Date: The first Business Day following the Issue Date Maximum Premium: As specified in Table Maximum Spread: As specified in Table Minimum Premium: As specified in Table Notional Dividend Amount: As specified in Table 2 Notional Dividend Period: As specified in Product Condition Relevant : As stated in Product Condition Relevant Number of Trading Days: For the purposes of: Issuer Call Date: 5, or in respect of an Emerging Market Disruption Event only, 80 Valuation Date: 5, or in respect of an Emerging Market Disruption Event only, 80 Reset Date: Each Business Day, at the determination of the Calculation Agent Securities Exchange: NYSE Euronext in Amsterdam Settlement : As specified in Table Settlement Date: Standard : As stated in Product Condition Stop Loss Event: As specified in Product Condition Up to the fifth Business Day following the Valuation Date, the last day of the Stop Loss Termination Valuation Period or the Issuer Call Date, as the case may be Stop Loss Price on the Issue Date: As specified in Table Stop Loss Price Rounding: upwards (in case of Long Certificates) and downwards (in case of Short Certificates) to the 2

13 next whole unit of the Financing Level as specified in Table Stop Loss Reset Date: 5th day Stop Loss Termination Reference Price: As specified in Product Condition Valuation Date: As specified in Table ISIN: As specified in Table Common Code: As specified in Table Other Securities Code: As specified in Table INFORMATION ON THE UNDERLYING Page where information about the past and future performance of the Underlying and its volatility can be obtained: As specified in Table 2 3

14 RESPONSIBILITY The Issuer accepts responsibility for the information contained in these Final Terms. 4

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