SPAREBANKEN NORGE
SBNOR
ADDITIONAL REGULATED INFORMATION REQUIRED TO BE DISCLOSED UNDER THE LAWS OF A MEMBER STATE
SBNOR112 PRO ESG - Key information relating to full redemption of bond loan
Sparebanken Norge will exercise its right to call SBNOR112 PRO ESG.
Issuer: Sparebanken Norge ISIN for bond loan: NO0011008401 Original maturity date: May 27th 2027 New maturity date: May 27th 2026 Redemption price: 100 Other information: n/a
Contact persons Sparebanken Norge Treasury: John Hopp, Head of Treasury, tel: +47 450 81 776 Thomas Colliander, Senior Finance Manager Treasury, +47 990 28 618
This information is published in accordance with the requirements of the Continuing Obligations.