08 Jan 2026 16:24 CET

Issuer

Bane NOR Eiendom AS

Reference is made to the stock exchange notice dated 7 January 2026. Bane NOR
Eiendom AS has today successfully issued NOK 1,900 million in new senior
unsecured green bonds, across 3 tranches;

- NOK 1,000 million with a tenor of 5 years and a floating coupon rate of 3
month Nibor + 0.68% per annum
- NOK 600 million with a tenor of 9 years and a floating coupon rate of 3 month
Nibor + 0.90% per annum
- NOK 300 million tap issue of outstanding bonds with maturity 19 November 2035
(Ticker: BNORE38 PRO ESG, ISIN: NO0013697086). The tap issue price was 100.023%
of par value.

The settlement date is set to 16 January 2026 for all tranches and an
application will be made for the bonds to be listed on Nordic ABM. The proceeds
from the green bond issuance will be used for eligible projects as further
defined and described by the Green Finance Framework dated March 2024.

Nordea acted as Sole Bookrunner in the successful bond issuance.

For further information, please contact:

Sven Erik Pløen Finance Director,
Bane NOR Group
+47 970 21 129


Source

Bane NOR Eiendom AS

Provider

Oslo Børs Newspoint

Company Name

Bane NOR Eiendom AS 21/26 FRN, Bane NOR Eiendom AS 21/28 FRN, Bane NOR Eiendom AS 22/27 2,92%, Bane NOR Eiendom AS 22/27 FRN, Bane NOR Eiendom AS 23/28 FRN, Bane NOR Eiendom AS 23/26 FRN, Bane NOR Eiendom AS 23/29 5.00pct, Bane NOR Eiendom AS 24/31 FRN, Bane NOR Eiendom AS 25/32 4,96%, Bane NOR Eiendom AS 25/30 FRN, Bane NOR Eiendom AS 25/32 4,65%, Bane NOR Eiendom AS 25/35 4,88%, Bane NOR Eiendom AS 25/31 4,715%

ISIN

NO0010931793, NO0010931801, NO0012439522, NO0012548850, NO0012881186, NO0012929589, NO0012929605, NO0012929571, NO0013354621, NO0013462085, NO0013462077, NO0013502393, NO0013502385, NO0013697060, NO0013697086, NO0013697078

Market

Nordic Alternative Bond Market