NOTICE TO HOLDERS OF INTERNATIONAL POWER FINANCE (JERSEY) II LIMITED 230,000, PER CENT. GUARANTEED CONVERTIBLE BONDS DUE 2013

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1 Regulatory Story Go to market news section Company TIDM Headline Released Number International Power Fin(Jersey) II 33CP Notice of Adjustment to Exchange Price 16:09 09-Feb A16 RNS Number : 9702A International Power Fin(Jersey) II 09 February 2011 NOTICE TO HOLDERS OF INTERNATIONAL POWER FINANCE (JERSEY) II LIMITED 230,000, PER CENT. GUARANTEED CONVERTIBLE BONDS DUE 2013 convertible into 3.25 per cent. redeemable preference shares of International Power Finance (Jersey) II Limited which are immediately exchanged for ordinary shares of and unconditionally guaranteed by Adjustment Event INTERNATIONAL POWER PLC ISIN: XS NOTICE OF ADJUSTMENT TO THE EXCHANGE PRICE On 3 February 2011, International Power plc announced that on 25 February 2011 it would pay a cash Dividend of pence per ordinary Share to Shareholders on the register of members on the record date of 11 February Adjustment of Exchange Price Each 50,000 principal amount of a Bond is convertible into one Preference Share with a paid-up value of 50,000. The Preference Shares will be delivered to International Power plc following the issue of such Preference Shares to the Bondholder, in consideration for which International Power plc will deliver such number of Shares as results from dividing the paid up value of each Preference Share (translated into pounds sterling at the fixed exchange rate of = 1) by the Exchange Price in effect on the Conversion Date (rounded down to the nearest whole number of Shares). Clause 7 of the Preference Share Guarantee and Undertaking requires an adjustment to be made to the Exchange Price in accordance with the terms of the schedule thereto on the occurrence of certain corporate events. As a result of the announcement by International Power plc that it will pay a cash Dividend to the Shareholders, an adjustment to the Exchange Price is required pursuant to paragraph B (iii) of the schedule. The current Exchange Price is 338 pence. From and including 25 February 2011, being the date of payment of the cash Dividend, the Exchange Price will be adjusted to 263 pence. All other Terms and Conditions of the Bonds remain unchanged.

2 Conversion Agent Deutsche Bank AG London Effective Date of Exchange Price Adjustment The adjustment to the Exchange Price will become effective on 25 February Defined Terms All words and terms that are capitalised herein shall have the same meaning as set out in the Terms and Conditions of the Bonds. 9 February 2011 This information is provided by RNS The company news service from the London Stock Exchange END MSCUGURUPUPGGQB London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply London Stock Exchange plc. All rights reserved Regulatory

3 Regulatory Story Go to market news section Company TIDM Headline Released Number International Power Fin(Jersey) III Notice of Adjustment to Exchange Rate 16:13 09-Feb A16 RNS Number : 9703A International Power Fin(Jersey) III 09 February 2011 NOTICE TO HOLDERS OF INTERNATIONAL POWER FINANCE (JERSEY) III LIMITED 700,000, PER CENT. GUARANTEED CONVERTIBLE BONDS DUE 2015 convertible into 4.75 per cent. redeemable preference shares of International Power Finance (Jersey) III Limited which are immediately exchanged for ordinary shares of and unconditionally guaranteed by Adjustment Event INTERNATIONAL POWER PLC ISIN: XS NOTICE OF ADJUSTMENT TO THE EXCHANGE PRICE On 10 August 2010, International Power plc announced that it intended to pay a special dividend of 92 pence per share. On 3 February 2011, International Power plc confirmed that the special dividend would be paid on 25 February 2011 to Shareholders on the register of members on the record date of 11 February Adjustment of Exchange Price Each 50,000 principal amount of a Bond is convertible into one Preference Share with a paid-up value of 50,000. The Preference Shares will be delivered to International Power plc following the issue of such Preference Shares to the Bondholder, in consideration for which International Power plc will deliver such number of Shares as results from dividing the paid up value of each Preference Share (translated into pounds sterling at the fixed exchange rate of = 1) by the Exchange Price in effect on the Conversion Date (rounded down to the nearest whole number of Shares). Clause 7 of the Preference Share Guarantee and Undertaking requires an adjustment to be made to the Exchange Price in accordance with the terms of the schedule thereto on the occurrence of certain corporate events. As a result of the announcement by International Power plc that it would pay a cash Dividend to the Shareholders, an adjustment to the Exchange Price is required pursuant to paragraph B (iii) of the schedule. The previous Exchange Price was 539 pence. From 9 February 2011, being the first date on which the shares are traded ex the relevant cash Dividend, the Exchange Price has been adjusted to 424 pence. All other Terms and Conditions of the Bonds remain unchanged.

4 Conversion Agent Deutsche Bank AG London Effective Date of Exchange Price Adjustment The adjustment to the Exchange Price became effective on 9 February Defined Terms All words and terms that are capitalised herein shall have the same meaning as set out in the Terms and Conditions of the Bonds. 9 February 2011 This information is provided by RNS The company news service from the London Stock Exchange END MSCBLGDDBBGBGBC London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply London Stock Exchange plc. All rights reserved Regulatory

5 Regulatory Story Go to market news section Company TIDM Headline Released Number International Power (Jersey) Ltd 35LY Notice of Adjustment to Exchange Price 16:05 09-Feb A16 RNS Number : 9698A International Power (Jersey) Ltd 09 February 2011 NOTICE TO HOLDERS OF INTERNATIONAL POWER (JERSEY) LIMITED US$252,500, PER CENT. GUARANTEED CONVERTIBLE BONDS DUE 2023 convertible into 3.75 per cent. redeemable preference shares of International Power (Jersey) Limited which are immediately exchanged for ordinary shares of and unconditionally guaranteed by Adjustment Event INTERNATIONAL POWER PLC ISIN: XS NOTICE OF ADJUSTMENT TO THE EXCHANGE PRICE On 3 February 2011, International Power plc announced that on 25 February 2011 it would pay a cash Dividend of pence per ordinary Share to Shareholders on the register of members on the record date of 11 February Adjustment of Exchange Price Each US$1,000 principal amount of a Bond is convertible into one Preference Share with a paid-up value of US$1,000. The Preference Shares will be delivered to International Power plc following the issue of such Preference Shares to the Bondholder, in consideration for which International Power plc will deliver such number of Shares as results from dividing the paid up value of each Preference Share (translated into pounds sterling at the fixed exchange rate of US$ = 1) by the Exchange Price in effect on the Conversion Date (rounded down to the nearest whole number of Shares). Clause 7 of the Preference Share Guarantee and Undertaking requires an adjustment to be made to the Exchange Price in accordance with the terms of the schedule thereto on the occurrence of certain corporate events. As a result of the announcement by International Power plc that it will pay a cash Dividend to the Shareholders, an adjustment to the Exchange Price is required pursuant to paragraph B(iii) of the schedule. The current Exchange Price is 147 pence. From and including 25 February 2011, being the date of payment of the cash Dividend, the Exchange Price will be adjusted to 114 pence. All other Terms and Conditions of the Bonds remain unchanged.

6 Conversion Agent Deutsche Bank AG London Effective Date of Exchange Price Adjustment The adjustment to the Exchange Price will become effective on 25 February Defined Terms All words and terms that are capitalised herein shall have the same meaning as set out in the Terms and Conditions of the Bonds. 9 February 2011 This information is provided by RNS The company news service from the London Stock Exchange END MSCUGUCUPUPGGQB London Stock Exchange plc is not responsible for and does not check content on this Website. Website users are responsible for checking content. Any news item (including any prospectus) which is addressed solely to the persons and countries specified therein should not be relied upon other than by such persons and/or outside the specified countries. Terms and conditions, including restrictions on use and distribution apply London Stock Exchange plc. All rights reserved Regulatory

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