SPAREBANK 1 NORD-NORGE NONG ADDITIONAL REGULATED INFORMATION REQUIRED TO BE DISCLOSED UNDER THE LAWS OF A MEMBER STATE

SpareBank 1 Nord-Norge: NONG102 PRO – Key information relating to full redemption of bond

26. January 2026 kl. 15:48

Issuer: SpareBank 1 Nord-Norge ISIN: NO0010917123 Original maturity date: February 12th 2027 New maturity date: February 12th 2026 Redemption price: 100,00

Contact person at SpareBank 1 Nord-Norge: Head of Treasury Ronny Løvberg Sørensen, tel. +47 971 05 220 This information is published in accordance with the requirements of the Continuing Obligations.