3OIL Boost Issuer PLC

Programme for the issuance of Collateralised ETP Securities

Programme for the issuance of Collateralised ETP Securities

 2 April 2026

WisdomTree Multi Asset Issuer Public Limited Company

Programme for the issuance of Collateralised ETP Securities

Consolidations of the Collateralised ETP Securities of the following classes:

WisdomTree Silver 3x Daily Short

WisdomTree EURO STOXX 50 3x Daily Short

WisdomTree DAX 3x Daily Short

WisdomTree Brent Crude Oil 3x Daily Short

WisdomTree Copper 3x Daily Short

Terms used in this announcement and not otherwise defined bear the same meanings as where used in the prospectus of the Issuer dated 25 September 2025 for the programme for the issuance of Collateralised ETP Securities.

Introduction

WisdomTree Multi Asset Issuer Public Limited Company (the “Issuer”) announces that pursuant to Condition 17.2, it will be effecting consolidations (the “Consolidations”) at the close of business on 17 April 2026 of the following classes of Collateralised exchange traded product (“ETP”) Securities (the “Affected Securities”):

ClassExisting ISIN (Last day of trading 17 April 2026)New ISIN (First day of trading 20 April 2026)Ratio (in words)Ratio (in numbers)
WisdomTree Silver 3x Daily ShortIE00B8JG1787XS3306517924Three thousand eight hundred3800
WisdomTree EURO STOXX 50 3x Daily ShortIE00B8JF9153XS3306517502One hundred forty140
WisdomTree DAX 3x Daily ShortIE00B8GKPP93XS3306517338One hundred twenty120
WisdomTree Brent Crude Oil 3x Daily ShortIE00BLRPRK35XS3306517098Six hundred fifty650
WisdomTree Copper 3x Daily ShortIE00B8KD3F05XS3306516959Thirty         30

The Consolidations will result in a change of ISINs for the Affected Securities. 

The Consolidations will be applied to all registered holders of the Affected Securities on the relevant Register after the close of business on Friday 17 April 2026 (the “Record Date”). This will be the last trading day of the Affected Securities under their old ISINs.

Trading of the consolidated Affected Securities under their new ISINs will begin on European stock exchanges on Monday 20 April 2026.

Please note that there could be delays in your broker, custodian or intermediary reflecting the Consolidations in their books and records.  Please discuss this with them if you have any concerns.

Impact on Investors

Holders of an Affected Security who have purchased that Affected Security up to and including on the Record Date will be impacted by the Consolidations.

After the close of business on the Record Date, each ratio number, as set out in the table above, of Affected Securities held by a holder will be consolidated into one consolidated Affected Security. For example, every 3800 Affected Securities of WisdomTree Silver 3x Daily Short will be consolidated into one consolidated Affected Security.

The Principal Amount and the NAV of the Affected Securities on the Record Date will be multiplied by the ratio number to determine the respective consolidation adjusted value of the consolidated Affected Securities.

The price and principal amount of an investor’s holding of any class of Affected Securities will change as a result of the Consolidations. The value of an investor’s holdings will not be affected by the Consolidations, other than in respect of the redemption of any resulting fractions.

Redemption of Fractional Securities

As a result of the Consolidations, a registered holder could potentially become entitled to a fraction of a consolidated Affected Security.  However, fractions cannot be traded on the exchanges to which the Affected Securities are admitted to trading. Where a registered holder who is named in the relevant Register maintained by the Registrar becomes entitled to a fraction of a consolidated Affected Security, the Issuer will redeem such fraction of that security on the Record Date.

The cash amount due on any fractions will be determined on the Record Date, based on the NAV of the consolidated Affected Securities on such date and is expected to be paid to registered holders within 14 days of the date on which the consolidated Affected Securities begin trading.

Please note that the Issuer will only make payments to holders of the Affected Securities who are named in the relevant Register maintained by the Registrar as at the close of business on the Record Date.  In respect of Affected Securities held through a broker, custodian or other intermediary, please contact that intermediary for information as to how the Consolidations will be recorded in their books and records and their treatment of any fractions.

Impact on Security Identifiers

Although no new securities are being issued, following the Consolidations, new ISINs, SEDOLs and WKNs will be issued in respect of the consolidated Affected Securities of each class.

Annex 1 to this announcement, entitled “Existing and New Security Identifiers for Trading Lines of The Affected Securities” sets out the new ISINs, SEDOLs and WKN codes for the consolidated Affected Securities of each class which will become effective on the date the consolidated Affected Securities begin trading.

Exchange codes and tickers are expected to remain unchanged.

Legal Basis

The Issuer is permitted to conduct the Consolidations pursuant to Condition 17.2 of the Affected Securities as set out in the Prospectus of the Issuer.

The Consolidations will be documented and implemented pursuant to an amendment to the Supplemental Trust Deed in respect of each class made between the Trustee, the Manager and the Issuer.  This is pursuant to Condition 15.2(A)(2).

Further information

This announcement contains information only and does not require any action to be taken.

For further information, please refer to the Consolidations FAQ available on our website at /important-notices or contact or contact your broker, custodian or other intermediary.



Annex 1

EXISTING AND NEW SECURITY IDENTIFIERS FOR TRADING LINES OF THE AFFECTED SECURITIES

New ISINs, SEDOLs and WKN Codes are to become effective from the open of business on the date the consolidated Affected Securities begin trading.

ClassExchangeExchange TickerExisting ISINExisting SEDOLExisting WKNNew ISIN New SEDOLNew WKN
WisdomTree Silver 3x Daily ShortLondon Stock Exchange (GBx)3SSIIE00B8JG1787B914Y67A1VBAP              XS3306517924BVRY8X0A4ARZP
London Stock Exchange (USD)3SISB8JG178BVRY669



 
Borsa Italiana3SIS                BD3CT95BNTYW52
XetraPCFGBDC7236BNTYW63
WisdomTree EURO STOXX 50 3x Daily ShortLondon Stock Exchange (GBx)3LESIE00B8JF9153                B8YQY52A1VBKHXS3306517502BVRY8Y1A4ARZV
London Stock Exchange (EUR)3EUSB8JF915BVRY681
Euronext (FR)3EUSBRJ7SD9BNTYW85
Borsa Italiana3EUS                BD3CSS7BNTYWB8
XetraPCFCBYSCBF7BNTYWD0
WisdomTree DAX 3x Daily ShortLondon Stock Exchange (GBx)3SDEIE00B8GKPP93B9CV3Z9A1VBKG              XS3306517338BVRY8Z2A4ARZY
London Stock Exchange (EUR)3DESB8GKPP9BVRY6B4
Borsa Italiana3DESBD3CSQ5BNTYWG3
Xetra3DESBDC7225BNTYWH4
WisdomTree Brent Crude Oil 3x Daily ShortLondon Stock Exchange (GBx)3BSRIE00BLRPRK35BKSB2B9A3GL7F              XS3306517098BVRY904 



A4ARZS
London Stock Exchange (USD)3BRSBKSB208BVRY6N6
Borsa Italiana3BRS                BKSB253BNTYWJ6
Xetra3BFSBLR6X42BNTYWL8
WisdomTree Copper 3x Daily ShortLondon Stock Exchange (USD)3HCSIE00B8KD3F05               B8KD3F0A1VBKEXS3306516959BVRY6Q9A4ARZR
Borsa Italiana3HCSBD3CT51BNTYWM9

Exchange tickers are expected to remain unchanged.

Attachment



EN
02/04/2026

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