Vontobel Financial Products GmbH Frankfurt am Main, Germany (the "Issuer")

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Supplement dated 27 October 2016 pursuant to Section 16 Para. 1 of the German Securities Prospectus Act (téêíé~éáéêéêçëééâíöéëéíò) to the Base Prospectus dated 21 September 2016 for Constant Leverage Certificates Vontobel Financial Products GmbH Frankfurt am Main, Germany (the "Issuer") Bank Vontobel Europe AG Munich, Germany (in its capacity as offeror, the "Offeror" and in its capacity as guarantor, the "German Guarantor" as the case may be) Vontobel Holding AG Zurich, Switzerland (the "Swiss Guarantor", as the case may be; the Swiss Guarantor and the German Guarantor together the "Guarantors" and each a "Guarantor") 1

Right of withdrawal of the investors According to section 16 para. 3 of the German Securities Prospectus Act (Wertpapierprospektgesetz) investors, who have already agreed to purchase or subscribe for the securities issued under the Prospectus this Supplement is relating to before this Supplement is published, have the right, exercisable within two working days after the publication of this Supplement, to withdraw their acceptances, provided that the new circumstance or the inaccuracy causing the Supplement occured before the final closing of the public offering and before delivery of the securities. A withdrawal, if any, of an order must be communicated in writing to the respective seller of the security. In case the Issuer is the counterparty of the acquisition, a withdrawal has to be sent to Vontobel Financial Products GmbH, Bockenheimer Landstraße 24, 60323 Frankfurt am Main, Federal Republic of Germany. In case the Offeror is the counterparty of the acquisition, the withdrawal has to be sent to Bank Vontobel Europe AG, Alter Hof 5, 80331 Munich, Federal Republic of Germany. In any other case, the withdrawal has to be sent to the respective counterparty of the acquisition to which the investor has given consent regarding the acquisition or subscription of the securities. This Supplement as well as the Base Prospectus and the supplement dated 7 October 2016 are published on the Issuer's website at https://certificates.vontobel.com under the heading <<Legal Documents>>. In addition, the Issuer will have copies of the supplements and the Base Prospectus available for free distribution. 2

I. REASONS FOR THE SUPPLEMENT In the following, the Issuer announces changes in relation to information contained in the already published Base Prospectus dated 21 September 2016 (the "Prospectus") by mentioning the respective reason for supplementing: (1) The text of the German Guarantee (as reproduced in Section XI. of the Prospectus) does not explicitly include the information which products are guaranteed under the guarantee and a reader must search laboriously to find this information. The German Guarantee covers only securities in the registry type of Dutch Uncertificated Securities, French Registered Securities and Italian Uncertificated Certificates. Therefore, the wording of the German Guarantee will be adjusted as described below. This inaccurancy occured on 20 October 2016. (2) The text of the Swiss Guarantee (as reproduced in Section XII. of the Prospectus) does not explicitly include the information which products are guaranteed under the guarantee and a reader must search laboriously to find this information. The Swiss Guarantee covers only securities in the registry type of German Global Certificates, Swiss Uncertificated Securities, Danish Uncertificated Securities, Finnish Registered Securities, Norwegian Registered Securities and Swedish Registered Securities. Therefore, the wording of the Swiss Guarantee will be adjusted as described below. This inaccurancy occured on 20 October 2016. (3) With respect to the description of "Factor Indices linked to shares, securities representing shares and other dividend-bearing securities" in Section IX.1. of the Prospectus, subsection "1.2 Reference Instrument List (shares, securities representing shares and other dividendbearing securities)" the following new factor occured: Innogy SE (ISIN DE000A2AADD2) and Uniper SE (ISIN DE000UNSE018) shall be added as new Reference Instruments for Factor Indices linked to shares, securities representing shares and other dividend-bearing securities. This new factor occured on 20 October 2016. (4) With respect to the description of "Factor Indices linked to shares, securities representing shares and other dividend-bearing securities" in Section IX.1. of the Prospectus, subsection "1.2 Reference Instrument List (shares, securities representing shares and other dividendbearing securities)", the following new factors occured: In connection with a reverse stock split of the company Alcoa Inc., the company also has announced the change of its ISIN. This new factor occured on 6 October 2016; The company ING Groep N.V. has announced the change of its ISIN. This new factor occured on 22 July 2016. Due to the above mentioned reasons the Prospectus needs to be amended as laid out in the following section. II. AMENDMENTS OF THE PROSPECTUS NKNF=qÜÉ=Ñáêëí=é~ê~Öê~éÜ=çÑ=pÉÅíáçå=?ufK=dÉêã~å=dì~ê~åíÉÉ?=çå=é~ÖÉ=OPV=çÑ=íÜÉ=mêçëéÉÅíìë=áë=~ãÉåÇÉÇ= ~ë= Ñçääçïë= EÇÉäÉíáçåë= ÜáÖÜäáÖÜíÉÇ= Äó= ëíêáâéíüêçìöü= ~åç= áåëéêíáçå= ÜáÖÜäáÖÜíÉÇ= Äó= ìåçéêäóáåáåö= ~åç= ÄçäÇ=Ñçåí=ïÉáÖÜíFW= Bank Vontobel Europe AG, Munich, Germany (the "German Guarantor") hereby unconditionally and irrevocably guarantees to the holders of the securities in the registry type of Dutch Uncertificated Securities, French Registered Securities and Italian Uncertificated Certificates (the "Creditors") issued by Vontobel Financial Products GmbH, Frankfurt am Main, Germany (the "Debtor") under this Base Prospectus (the "Securities") the due payment of all 3

amounts payable in accordance with the Terms and Conditions of the Securities, subject to the following conditions: NKOF=få= péåíáçå=?ufk= déêã~å=dì~ê~åíéé?= çå= é~öé= OPV=çÑ= íüé=mêçëééåíìë= íüé=ç~íé=çñ=ëáöå~íìêé=çñ= íüé= Öì~ê~åíÉÉ=áë=~ãÉåÇÉÇ=~ë=Ñçääçïë=EÇÉäÉíáçåë=ÜáÖÜäáÖÜíÉÇ=Äó=ëíêáâÉíÜêçìÖÜ=~åÇ=áåëÉêíáçå=ÜáÖÜäáÖÜíÉÇ= Äó=ìåÇÉêäóáåáåÖ=~åÇ=ÄçäÇ=Ñçåí=ïÉáÖÜíFW= Munich, 21 September 27 October 2016 OKNF=qÜÉ=Ñáêëí=é~ê~Öê~éÜ=çÑ=pÉÅíáçå=?uffK=pïáëë=dì~ê~åíÉÉ?=çå=é~ÖÉ=OQM=çÑ=íÜÉ=mêçëéÉÅíìë=áë=~ãÉåÇÉÇ= ~ë= Ñçääçïë= EÇÉäÉíáçåë= ÜáÖÜäáÖÜíÉÇ= Äó= ëíêáâéíüêçìöü= ~åç= áåëéêíáçå= ÜáÖÜäáÖÜíÉÇ= Äó= ìåçéêäóáåáåö= ~åç= ÄçäÇ=Ñçåí=ïÉáÖÜíFW= Vontobel Holding AG, Zurich, Switzerland (the "Swiss Guarantor") hereby unconditionally and irrevocably, in accordance with article 111 of the Swiss Code of Obligations (påüïéáòéêáëåüéë= lääáö~íáçåéåêéåüí, "OR"), guarantees to the holders (the "Creditors") of the securities in the registry type of German Global Certificates, Swiss Uncertificated Securities, Danish Uncertificated Securities, Finnish Registered Securities, Norwegian Registered Securities and Swedish Registered Securities (the "Creditors") issued by Vontobel Financial Products GmbH, Frankfurt am Main, Germany (the "Debtor") under the Base Prospectus (the "Securities") the proper payment of all amounts payable in accordance with the terms and conditions of the securities, subject to the following conditions: OKOF=få= péåíáçå=?uffk= pïáëë= dì~ê~åíéé?= çå= é~öé= OQM= çñ= íüé= mêçëééåíìë= íüé= Ç~íÉ= çñ= ëáöå~íìêé= çñ= íüé= Öì~ê~åíÉÉ=áë=~ãÉåÇÉÇ=~ë=Ñçääçïë=EÇÉäÉíáçåë=ÜáÖÜäáÖÜíÉÇ=Äó=ëíêáâÉíÜêçìÖÜ=~åÇ=áåëÉêíáçå=ÜáÖÜäáÖÜíÉÇ= Äó=ìåÇÉêäóáåáåÖ=~åÇ=ÄçäÇ=Ñçåí=ïÉáÖÜíFW= Zurich, 21 September 27 October 2016 4

PF= få=pìäëéåíáçå=?nko=oéñéêéååé=fåëíêìãéåí=iáëí=eëü~êéëi=ëéåìêáíáéë=êééêéëéåíáåö=ëü~êéë=~åç=çíüéê=çáîáçéåçjäé~êáåö=ëéåìêáíáéëf?=çñ=péåíáçå=?fuknk=c~åíçê=fåçáåéë= äáåâéç=íç= ëü~êéëi= ëéåìêáíáéë= êééêéëéåíáåö= ëü~êéë= ~åç=çíüéê=çáîáçéåçjäé~êáåö= ëéåìêáíáéë?=çå= é~öé= NOV= Éí= ëéèk= çñ=íüé= mêçëééåíìë= íüé= ÑçääçïáåÖ= êçïë= ëü~ää= ÄÉ= ~ÇÇÉÇ=~í=íÜÉ=ÉåÇ=çÑ=íÜÉ=í~ÄäÉW= Name Type Currency Company ISIN Bloomberg Reference Exchange Derivatives Exchange Innogy SE Bearer Share EUR innogy SE, Opernplatz 1, 45128 Essen, Germany DE000A2AADD2 IGY Equity XETRA Eurex Uniper SE Registered Share EUR Uniper SE, E.ON-Platz 1, 40479 Dusseldorf, Germany DE000UNSE018 UN01 GY Equity XETRA Eurex 4) få=pìäëéåíáçå=?nko=oéñéêéååé=fåëíêìãéåí=iáëí=eëü~êéëi=ëéåìêáíáéë=êééêéëéåíáåö=ëü~êéë=~åç=çíüéê=çáîáçéåçjäé~êáåö=ëéåìêáíáéëf?=çñ=péåíáçå=?fuknk=c~åíçê=fåçáåéë= äáåâéç=íç= ëü~êéëi= ëéåìêáíáéë= êééêéëéåíáåö= ëü~êéë= ~åç=çíüéê=çáîáçéåçjäé~êáåö= ëéåìêáíáéë?=çå= é~öé= NOV= Éí= ëéèk= çñ= íüé=mêçëééåíìë= íüé= ÑçääçïáåÖ= êçïë= ëü~ää= ÄÉ= ~ãéåçéç=~ë=ñçääçïëw= Name Type Currency Company ISIN Bloomberg Reference Exchange Derivatives Exchange Alcoa Inc. Registered share USD Alcoa Corporate Center, 201 Isabella Street, Pittsburgh, PA 15212-5858, USA US0138171014 US0138175072 AA UN Equity NYSE Chicago Board Options Exchange ING Groep N.V. Bearer share EUR ING Groep NV, Amstelveenseweg 500, NL-1081 KL Amsterdam NL0000303600 NL0011821202 INGA NA Equity Euronext Amsterdam Eurex 5

SIGNATURES Frankfurt am Main, 27 October 2016 signed by Dr. Holger Martin Vontobel Financial Products GmbH signed by Markus Schenk Vontobel Financial Products GmbH Frankfurt am Main, 27 October 2016 signed by Dr. Alexander Weitzel Bank Vontobel Europe AG signed by Stephan Mühlner Bank Vontobel Europe AG Zurich, 27 October 2016 signed by Bruno Kohli Vontobel Holding AG signed by Florian Bättig Vontobel Holding AG S-1