Amundi Physical Metals plc (GLDA) 
Amundi Physical Metals plc: Final Terms 
14-May-2021 / 09:58 CET/CEST 
Dissemination of a Regulatory Announcement, transmitted by EQS Group. 
The issuer is solely responsible for the content of this announcement. 
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FINAL TERMS 
Final Terms dated 12 May 2021 
AMUNDI PHYSICAL METALS PLC 
ETC Securities of Amundi Physical Gold ETC issued under its Secured Precious Metal Linked ETC Securities Programme (the 
"ETC Securities") 
Issue of 126,500.00 ETC Securities, being Tranche 233 of Amundi Physical Gold ETC specified in these Final Terms 
Part A - Contractual Terms 
Terms used herein shall be deemed to be defined as such for the purposes of the Conditions set forth in the Base 
Prospectus dated 20 May 2019, as supplemented by the Supplement to the Base Prospectus dated 4 March 2020. 
This document constitutes the final terms of the ETC Securities described herein for the purposes of Article 8(4) of 
the Prospectus Regulation (Regulation (EU) 2017/1129) (the "Prospectus Regulation") and must be read in conjunction 
with the Base Prospectus dated 20 May 2020 (the "Current Base Prospectus") and the Supplement to the Current Base 
Prospectus which together constitute a base prospectus for the purposes of the Prospectus Regulation, save in respect 
of the Conditions which are extracted from the Base Prospectus dated 20 May 2019 as so supplemented and are 
incorporated by reference into the Current Base Prospectus. Full information on the Issuer and the offer of the ETC 
Securities is only available on the basis of the combination of this final terms and the Base Prospectus dated 20 May 
2019 as so supplemented and the Current Base Prospectus and the Supplement to the Current Base Prospectus. 
GENERAL TERMS 
 1.           Issuer:                              Amundi Physical Metals plc 
 2.            i. Series:                          Amundi Physical Gold ETC 
              ii. Tranche Number(s):               233 
 3.           Aggregate Number of ETC Securities of the Series: 
               i. Immediately following the issue 
                  of the relevant Tranche of ETC   47,884,537.00 
                  Securities: 
              ii. Comprising the relevant Tranche  126,500.00 
                  of ETC Securities: 
 4.           Metal Entitlement: 
               i. Initial Metal Entitlement as at  0.04 fine troy ounces 
                  the Series Issue Date: 
              ii. Metal Entitlement as at the 
                  Subscription Trade Date of the 
                  relevant Tranche of ETC          0.03986927 
                  Securities (if not the first 
                  Tranche of ETC Securities of the 
                  Series): 
 5.           Issue Date: 
               i. Series Issue Date:               23 May 2019 
              ii. Issue Date of the relevant 
                  Tranche of ETC Securities (if    14 May 2021 
                  not the first Tranche of ETC 
                  Securities of the Series): 
 6.           Scheduled Maturity Date:             23 May 2118 
 7.           Relevant Regulatory Law Reference    21 May 2019 
              Date: 
 8.           Date on which Board approval for     25 April 2019 
              issuance of ETC Securities obtained: 
TRANSACTION PARTIES 
 9.           Additional Paying Agent(s):            Not Applicable 
                                                     As at the date of these Final Terms: 
                                                     HSBC Bank plc, with registered office at: 
                                                     8 Canada Square, 
                                                     Canary Wharf, 
                                                     London, E14 5HQ 
                                                     Jane Street Financial Limited, with registered office at: 
                                                     Floor 30, 20 Fenchurch Street, 
                                                     London EC3M 3BUY 
                                                     Flow Traders B.V., with registered office at: 
                                                     Jacob Bontiusplaats 9 
10.           Authorised Participant(s): 
                                                     1018 LL Amsterdam 
                                                     Optiver VOF, with registered office at: 
                                                     Strawinskylaan 3095 
                                                     1077 ZX Amsterdam 
                                                     BNP Paribas Arbitrage SNC, with registered office at: 
                                                     1 Rue Laffitte 
                                                     75009 Paris 
                                                     Merrill Lynch International, with registered office at 
                                                     2 King Edward Street 
                                                     London EC1A 1HQ 
PROVISIONS RELATING TO FEES 
11.           Total Expense Ratio (as at the date of 0.15% per annum. 
              these Final Terms): 
PROVISIONS RELATING TO REDEMPTION 
12.           Nominal Amount:                        USD 5.085, being an amount equal to 10 per cent. of the Issue 
                                                     Price per ETC Security as at the Series Issue Date. 
13.           Specified Interest Amount:             USD 0.051, being an amount equal to 1 per cent. of the Nominal 
                                                     Amount. 
GENERAL PROVISIONS APPLICABLE TO THE ETC SECURITIES 
                                                     An offer of the ETC Securities may be made by any Authorised 
                                                     Offeror(s) other than pursuant to Article 1(4) of the Prospectus 
                                                     Regulation in Austria, France, Germany, Luxembourg, the 
14.           Non-exempt Offer:                      Netherlands, Spain, Sweden, United Kingdom and any other 
                                                     Relevant Member State where the Current Base Prospectus (and any 
                                                     supplements) have been notified to the competent authority in 
                                                     that Relevant Member State and published in accordance with the 
                                                     Prospectus Regulation. 
LISTING AND ADMISSION TO TRADING APPLICATION 
These Final Terms comprise the final terms required to list and have admitted to trading the Tranche(s) of ETC 
Securities described herein pursuant to Amundi Physical Metal Plc's Secured Precious Metal Linked ETC Securities 
Programme. 
 

Signed on behalf of the Issuer:

By: ............................................

Duly authorised

Part B - Other Information


 1.           LISTING 
                                         Application has been made for the ETC Securities to be admitted to Euronext 
                                         Paris and for the ETC Securities to be admitted to trading on the regulated 
                                         market thereof. Application has also been made for the ETC Securities to be 
                                         admitted to Euronext Amsterdam, Deutsche Börse and the London Stock Exchange 
                                         and for the ETC Securities to be admitted to trading on the regulated markets 
                                         and/or main markets thereof. 
               i. Listing and admission 
                  to trading:            Application may be made for the ETC Securities to be listed on additional 
                                         Stock Exchanges and admitted to trading on additional markets from time to 
                                         time. 
                                         As at the date of these Final Terms, ETC Securities of this Series have been 
                                         admitted to trading on Euronext Paris, Euronext Amsterdam, Deutsche Börse and 
                                         the London Stock Exchange. 
              ii. Estimate of total net  USD 9,233,070.55 
                  proceeds of the issue: 
              iii. Estimate of total 
                  expenses related to 
                  admission to trading   EUR3,000 
                  for the relevant 
                  Tranche: 
 2.           REASONS FOR THE OFFER 
              Reasons for the offer:     See section headed "Investing in the ETC Securities to gain exposure to gold 
                                         price" in the Current Base Prospectus. 
 3.           OPERATIONAL INFORMATION 
              ISIN:                      FR0013416716 
              Common Code:               199119532 
              CFI:                       DTZXXB 
              FISN:                      AMUNDI PHYSICAL/DBT 
                                         Listing Euronext Paris: BJ027Y1 FR 
                                         Listing Euronext Amsterdam: BJYGLG9 NL 
              SEDOL:                     Listing Deutsche Börse Xetra: BKF9G58 DE 
                                         Listing London Stock Exchange: BLKQKY8 
 
              WKN (if applicable):       A2UJK0 
              Delivery:                  Delivery free of payment. 

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May 14, 2021 03:59 ET (07:59 GMT)