
| Fixed/Floating Senior Notes | Floating Senior Notes | |||||||
| Issuer: | The PNC Financial Services Group, Inc. (“PNC”) | The PNC Financial Services Group, Inc. (“PNC”) | ||||||
| Security: | 4.075% Fixed Rate/Floating Rate Senior Notes due January 26, 2029 (the “Fixed/Floating Senior Notes”) | Floating Rate Senior Notes due January 26, 2029 (the “Floating Senior Notes”) | ||||||
| Ranking: | Senior | Senior | ||||||
| Expected Security Ratings:* | A3 / A- / A / AA (low) (Moody’s / S&P / Fitch / Morningstar DBRS) | A3 / A- / A / AA (low) (Moody’s / S&P / Fitch / Morningstar DBRS) | ||||||
| Principal Amount: | $1,200,000,000 | $300,000,000 | ||||||
| Price to Investors: | 100.000% of face amount | 100.000% of face amount | ||||||
| Minimum Denomination/Multiples: | $2,000 / multiples of $1,000 in excess thereof | $2,000 / multiples of $1,000 in excess thereof | ||||||
| Trade Date: | January 21, 2026 | January 21, 2026 | ||||||
| Settlement Date:** | January 26, 2026 (T+3) | January 26, 2026 (T+3) | ||||||
| Maturity: | January 26, 2029 | January 26, 2029 | ||||||
| Optional Redemption Date: | Redeemable in whole, but not in part, on January 26, 2028, the date that is one year prior to the maturity date, at 100% of the principal amount of the Fixed/Floating Senior Notes, plus accrued and unpaid interest thereon to the date of redemption. Also redeemable in whole, or in part, during the 30-day period prior to, and including, the maturity date at 100% of the principal amount of the Fixed/Floating Senior Notes, plus accrued and unpaid interest thereon to the date of redemption | Redeemable in whole, but not in part, on January 26, 2028, the date that is one year prior to the maturity date, at 100% of the principal amount of the Floating Senior Notes, plus accrued and unpaid interest thereon to the date of redemption. Also redeemable in whole, or in part, during the 30-day period prior to, and including, the maturity date at 100% of the principal amount of the Floating Senior Notes, plus accrued and unpaid interest thereon to the date of redemption | ||||||
| Fixed Rate Period: | From, and including, January 26, 2026 to, but excluding, January 26, 2028 | N/A | ||||||
| Floating Rate Period: | From, and including, January 26, 2028 to, but excluding, the maturity date | From, and including, January 26, 2026 to, but excluding, the maturity date | ||||||
| Interest Rates: | Fixed Rate Period: 4.075% annually Floating Rate Period: Compounded SOFR, determined as set forth under “Certain Terms of the Senior Notes—Interest—Floating Rate Period” in the preliminary prospectus supplement dated January 21, 2026, plus 0.610% | Compounded SOFR, determined as set forth under “Certain Terms of the Senior Notes—Interest—Floating Rate Period” in the preliminary prospectus supplement dated January 21, 2026, plus 0.620% | ||||||
| Interest Payment Dates: | Fixed Rate Period: Each January 26 and July 26, commencing on July 26, 2026 and ending on January 26, 2028 Floating Rate Period: April 26, 2028, July 26, 2028, October 26, 2028 and at the maturity date | Quarterly in arrears on January 26, April 26, July 26 and October 26 of each year, commencing on April 26, 2026 | ||||||
Day Count Convention / Business Day Convention: | Fixed Rate Period: 30/360; Following Business Day Convention (Unadjusted) Floating Rate Period: Actual/360; Modified Following Business Day Convention (Adjusted) | Actual/360; Modified Following Business Day Convention (Adjusted) | ||||||
| Reference Benchmark: | UST 3.375% due December 31, 2027 | Compounded SOFR, determined as set forth under “Certain Terms of the Senior Notes—Interest—Floating Rate Period” in the preliminary prospectus supplement dated January 21, 2026 | ||||||
| Reference Benchmark Yield: | 3.595% | N/A | ||||||
| Spread to Reference Benchmark: | 48 basis points | 62 basis points | ||||||
| Re-offer Yield: | 4.075% | N/A | ||||||
| CUSIP/ISIN: | 693475 CG8 / US693475CG81 | 693475 CH6 / US693475CH64 | ||||||
| Joint Book-Running Managers: | PNC Capital Markets LLC Goldman Sachs & Co. LLC J.P. Morgan Securities LLC Academy Securities, Inc. Samuel A. Ramirez & Company, Inc. | |||||||
| Co-Managers: | ||||||||
| Concurrent Offering: | Concurrent with this offering, PNC is offering $1,500,000,000 of its 5.423% Fixed-Rate Reset Subordinated Notes due 2041 | |||||||
* Note: A securities rating is not a recommendation to buy, sell or hold securities and may be subject to revision or withdrawal at any time. ** Note: We expect that delivery of the Fixed/Floating Senior Notes and the Floating Senior Notes (collectively, the “Senior Notes”) will be made against payment therefor on the third business day following the date hereof (such settlement cycle being referred to as (“T+3”). Under Rule 15c6-1 of the Securities Exchange Act of 1934, trades in the secondary market generally are required to settle in one business day unless the parties to a trade expressly agree otherwise. Accordingly, purchasers who wish to trade the Senior Notes prior to the first business day before settlement will be required, by virtue of the fact that the Senior Notes initially will settle in T+3, to specify alternative settlement arrangements to prevent a failed settlement. Such purchasers should consult their own advisors | ||||||||