26 May 2025 09:35 CEST

Issuer

Norwegian Property ASA

Issuer: Norwegian Property ASA
The bond's ISIN: NO0010894785
Redemption date: May 26, 2025
Amount redeemed: MNOK 394
Outstanding amount after redemption: MNOK 306
Redemption price: 100.416

This information is subject to the disclosure requirements pursuant to section 5
-12 of the Norwegian Securities Trading Act.

Oslo, May 26, 2025

For further information, please contact: Haavard Rønning, CFO, Mobile +47 400 20
019.

Norwegian Property is a focused and fully integrated office property company
with properties located mainly in the Oslo area in Norway. The portfolio is
characterized by central location and attractive premises with high quality
tenants. The group's properties consist largely of office premises, associated
warehousing and car parking, as well as retail and catering space. The company
has identified four value drivers for long-term value creation; Marketing &
letting, Property management, Property development and Transactions & finance.
www.npro.no


Source

Norwegian Property ASA

Provider

Oslo Børs Newspoint

Company Name

Norwegian Property ASA 19/26 3,05%, Norwegian Property ASA 20/25 FRN C, Norwegian Property ASA 21/26 2.235 pct, Norwegian Property ASA 21/26 FRN, Norwegian Property ASA 24/29 FRN, Norwegian Property ASA 24/27 FRN FLOOR, Norwegian Property ASA 24/29 5,50%

ISIN

NO0010856818, NO0010894785, NO0010907231, NO0010997919, NO0011086969, NO0011091274, NO0013251801, NO0013270348, NO0013251827, NO0013350538

Market

Euronext Oslo Børs