08 Jan 2026 08:36 CET

Issuer

Tryg Forsikring A/S

Reference is made to the terms and conditions for the Bonds (the "Terms and
Conditions"). Capitalised but not defined terms herein shall have the meaning as
set out in the Terms and Conditions.

Key information:
Issuer: Tryg Forsikring A/S
ISIN: DK0030484621
Maturity Date: Perpetual
New maturity date: 26 February 2026
Settlement amount (the "Settlement Amount"): 1,011,106.44 SEK per SEK 1,000,000
nominal amount of Bonds plus Arrears of Interest (if any)

Other information:
Tryg Forsikring A/S as the Issuer has today given notice in accordance with
Conditions 10.6 and 15 of the Terms and Conditions that, on 26 February 2026
(the "Call Date"), it will exercise the Ordinary Call for all Outstanding Bonds
at the Call Price.

The amount payable by the Issuer on the Call Date in respect of each Bond will
be an amount equal to the principal amount per Bond, together with accrued but
unpaid interest payable thereon up to but excluding 26 February 2026 (in an
amount equal to SEK 11,106.44 per SEK 1,000,000 nominal amount) and Arrears of
Interest (if any). Following such Ordinary Call and settlement thereof, there
will be no Bonds outstanding.

Contact information
For further information, visit tryg.com (http://www.tryg.com/en) or contact:

Head of Financial Reporting, Gianandrea Roberti at +45 20 18 82 67 or
gianandrea.roberti@tryg.dk
Head of Investor Relations, Robin H. Løfgren at +45 41 86 25 88 or
robin.loefgren@tryg.dk


663264_Tryg Forsikring AS Subordinated Callable SEK.pdf

Source

Tryg Forsikring A/S

Provider

Oslo Børs Newspoint

Company Name

Tryg Forsikring A/S 21/PERP FRN C HYBRID SEK, Tryg Forsikring A/S 21/51 FRN C SUB, Tryg Forsikring A/S 21/51 FRN C SUB SEK

ISIN

DK0030484621, NO0010995723, DK0030488101

Market

Euronext Oslo Børs